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Corporate Finance and Securities Practice Group
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Kelley Dryes Corporate Finance and Securities Practice Group has one of the most active practices in the country.
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We assist issuers, underwriters, placement agents and shareholders in all types of private placements, public offerings, acquisitions, recapitalizations, asset securitizations and other finance transactions. These transactions range from direct-to-investor placements by emerging growth companies, investment funds and other issuers "public style" to Rule 144A private offerings to concurrent underwritten public debt and equity offerings and multi-tranche international offerings. |
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We advise companies and their directors and officers on equity-based compensation and benefit funding, periodic reporting, insider trading and reporting, investor relations, public disclosure and corporate governance. |
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We counsel broker-dealers and other securities market professionals on compliance with NASD and SEC regulatory and reporting requirements. |
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We draw on the strengths and support of other practice groups within Kelley Drye in such areas as securities industry regulation, securities litigation, employee benefits, tax and labor to deliver integrated services that accomplish all of our clients' objectives.
Services Provided to Clients
Our Corporate Finance and Securities Practice Group is most often involved in transactions at an early stage. Our services include:
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Providing assistance in evaluating and developing strategies for transactions. |
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Structuring, negotiating and drafting engagement letters, confidentiality agreements, initial proposals, indications of interest and letters of intent. |
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Analyzing business plans. |
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Conducting due diligence and analysis of regulatory requirements (with the assistance of other practice groups such as the environmental, communications, health care, venture capital, product liability and banking practice groups). |
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Drafting and negotiating registration statements and prospectuses, underwriting agreements and documents, private placement memoranda and offering circulars, placement agency agreements, subscription documents, founder, stockholder and employment agreements, and option and restricted stock plans and agreements. |
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We also are frequently involved in forming corporations, limited liability companies and limited partnerships, both to establish and acquire operating businesses and to act as investment vehicles.
By maintaining an electronic-based file of standard documents and checklists, attorneys and paralegals in our Group have the ability, on an expedited and efficient basis, to generate the requisite documents.
Public Offerings
Our Group represents both underwriters and issuers in connection with initial, follow-on and secondary public offerings for domestic and foreign issuers in domestic and international markets. These include offerings of:
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Common stock and warrants. |
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Preferred stock (including convertible preferred stock, market auction preferred stock and preferred stock with floating dividend rates). |
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Senior notes, senior subordinated notes, convertible debentures and other debt securities. |
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Units consisting of common stock, debentures and warrants. |
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In those instances where our clients are founders and venture capital investors selling their interests in companies they created or members of senior management of the companies being sold, and in similar instances, we devote special attention to those agreements which regulate their rights in and to dispose of any shares of the acquiring corporation which they may receive in consideration for the sale, including voting arrangements, antidilution protection, rights of first refusal and "tag along" and "drag along" provisions.
Private Offerings
Our Group represents issuers and placement agents in private offerings involving the types of securities described above as well as under Regulation S and Rule 144A. In addition, we represent issuers and placement agents in connection with private offerings of limited partnership interests for "hedge" funds, income funds and equity funds as well as private offerings of shares of corporations and limited liability companies with operating businesses.
Reporting Companies
Our Corporate Finance and Securities Practice Group has extensive experience in:
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Preparation and filing of annual, quarterly and interim reports with the SEC. |
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Compliance with the rules of the NYSE, the NASDAQ National Market, the NASDAQ SmallCap Market and the OTC Bulletin Board. |
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Disclosure of material developments and "negative news" and compliance with Regulation FD (Fair Disclosure). |
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Establishment and conduct of stock repurchase programs. |
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Preparation of proxy statements and information statements. |
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Compliance with short swing profit rules and other obligations of insiders under the Securities Exchange Act of 1934. |
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Use of employer securities in executive compensation. |
We regularly advise clients on corporate governance matters relating thereto, including Board committee composition and duties and determination of "independence" and "financial expertise." Corporate governance services have been in extraordinary demand following the passage of the Sarbanes-Oxley Act of 2002 and the proposal and adoption of the rules by the SEC, the NYSE and NASDAQ relating to corporate governance.
Capital Markets and Regulatory Matters
Our Group represents broker-dealers, investment advisors and beneficial owners of shares of reporting companies with respect to compliance with requirements of the SEC, the NASD and the NYSE as well as other national and foreign securities exchanges. These include requirements applicable to trading activities, net capital, sale of restricted securities, reporting obligations, syndicate operations, due diligence and short swing profits. We also represent securities industry groups and self-regulatory organizations with respect to the formulation and adoption of new regulations, such as foreign securities margin regulations.
Tender Offers
Our Group represents acquirers in both friendly and hostile tender offers, and assists in the defense of hostile tender offers. We also represent public companies in establishing poison pills, shark repellents and other corporate defense mechanisms and in connection with proxy contests.
International Focus
Our Corporate Finance and Securities Practice Group represents non-U.S. based clients in U.S. and offshore offerings and compliance with U.S. reporting and other requirements. Increasingly, we represent non-U.S. clients in complex transactions which require sophisticated structural, documentation and negotiation services, but which do not necessarily have any U.S. based nexus. We maintain the capacity to staff transactions with attorneys who are fluent in more than a dozen languages and take particular pride in our ability to work closely as part of the transaction teams established by our non-U.S. clients.
Related Practice Areas
In addition to the partners and associates that comprise our Corporate Finance and Securities Practice Group, we draw on the expertise of attorneys in our other practice areas. Among those regularly involved as part of our transactions team are attorneys specializing in tax, antitrust and trade regulation, environmental, labor, employee benefits, intellectual property and real estate. We maintain expertise in various regulatory areas, for example, in FAA and FCC matters, and have close working relationships with counsel in many other specialized regulatory areas.
Our Approach to Client Service
We represent many clients on an ongoing basis, as well as clients who, based upon our expertise and reputation, retain our services for specific transactions. Based on our successful experiences in large transactions demanding extensive analysis and capabilities as well as small transactions requiring focus on costs, critical issues and efficiency, we have developed capabilities, staffing practices and organizational procedures that produce value-added results for our clients. No matter how large or small a transaction, we pride ourselves on being truly responsive and accessible to our clients at all times. In doing so, we recognize that we are part of a team assembled by our client for a particular transaction and work in that capacity to successfully achieve our client's timing and business objectives.
Technology
The ability to rapidly prepare and move documents is a fundamental requirement for our practice. Accordingly, Kelley Dryes IT systems and communications links facilitate the ability of our attorneys to move documentation around the globe and our 24/7/365 word processing facilities in our New York office allows our attorneys to draft and edit documents from wherever they may be working and at whatever time or day of the week.
Contact
For further information about Kelley Dryes Corporate Finance and Securities Practice Group please contact M. Ridgway Barker at (203) 351-8032 or mrbarker@kelleydrye.com. For further information concerning Kelley Drye & Warren LLP, please visit our website at www.kelleydrye.com.
Representative Clients
In today's rapidly changing environment, companies are constantly being formed, maturing and growing, and acquiring or being acquired. Our clients are no exception, and we support and partner with them throughout these challenges.
The following list identifies selected clients that have undertaken these challenges. While some have been acquired, and new ones are being launched, we believe that this list demonstrates the range and level of our experience and the services we provide.
Issuers and Public Companies
Besicorp Group Inc.
Cannondale Corporation
Career Staff Unlimited, Inc.
Dictaphone Corporation
Financial Federal Corporation
EP MedSystems, Inc.
GrafTech International Ltd.
John Alden Financial Corp.
Journal Register Co.
KMC Telecom Holdings, Inc.
Mikasa, Inc.
Standard Motor Products, Inc.
Steiner Leisure Limited
Sterling Drug Inc.
The Quick & Reilly Group, Inc.
TresCom International Inc.
Twin Laboratories Inc.
Union Carbide Corporation
Viatel Bermuda (Holding) Ltd.
Xerox Corporation
Investment Banks and Broker-Dealers
BT Alex. Brown
Dresdner Securities (USA)
Forum Capital Markets
Furman Selz
Gerard Klauer Mattison
Jefferies & Company
Morgan Stanley, Dean Witter
Merrill Lynch
Nomura Securities
PaineWebber
Salomon Smith Barney
Securities Industry Groups and Securities Exchanges
New York Stock Exchange
Securities Industry Association
Federation Internationale des Bourses de Valeurs
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