Sardar Law Firm recognizes the increasing focus on corporate governance and compliance with securities laws and regulations. Putting proper governance practices and regulatory compliance in place are critical components for investor confidence and a well run business. Despite the best intentions of corporate officers and directors to act responsibly and ethically, even a seemingly minor oversight can carry significant liability.
Sardar Law Firm has experience advising corporations and their officers and directors about corporate governance, regulatory compliance and similar matters. SLF attorneys are experienced in:
- Providing advice to boards, directors and corporate executives about disclosure requirements, reporting requirements, fiduciary duties and other corporate obligations.
- Board composition and structure, including membership qualifications, nominating procedures, committee structures and duties, and similar matters.
- Counseling clients regarding the disclosure controls and internal controls required by federal securities laws and regulations.
- Internal investigations.
- Advice regarding management succession, and compensation/benefits for executives and directors.
- Conflict-of-interest and change-of-control matters, including mergers, proxy contests and takeover bids.
- Advice regarding NYSE/FINRA corporate governance requirements.
- Shareholder derivative litigation.
Our goal at Sardar Law Firm is to build forward thinking relationships with clients by anticipating issues and helping clients achieve their goals without undue financial hardship.
Contact us at 917-740-5097 to set up a consultation, or email us at sardar@sardarlawfirm.com.
Additional Resources:
Litigation Trends in a Recessionary Environment – Sheheryar T. Sardar, Partner & Benish Shah
Frank-Dodd: Implications for Private Equity & Hedge Funds – Sheheryar T. Sardar, Partner & Benish Shah
American Investors & Middle East Private Equity – Sheheryar T. Sardar, Partner