

Navigating complex financing transactions for startups and established businesses.
Attorneys in our Corporate Securities practice routinely advise clients on securities issues specific to private companies. We counsel clients regarding debt and equity financings, including structuring and preparing private placement memoranda and advise on securities law compliance at the federal and state levels.
Corporate finance transactions and securities compliance have become increasingly complex and challenging. Dunn Carney’s attorneys have broad experience in helping our clients navigate the current market climate, as well as the complex regulatory framework. Compliance with, or meeting requirements for exemptions from, federal and state securities laws is not only the principal focus of private offerings of securities, but can also be an important element in many other business transactions, including mergers and acquisitions and the formation of new ventures, including corporations, partnerships, limited liability companies and joint ventures.
Dunn Carney’s approach is to thoroughly understand a client’s business and objectives so that we can better and more effectively advise our clients to help ensure that any disclosure documents are accurate and complete. We employ a team approach and work closely with colleagues in our other practice areas where our clients have significant operations.
Dunn Carney is a trusted, respected adviser on securities compliance matters and complex capital-raising transactions. Dunn Carney’s clients have come to rely on our extensive experience representing clients in private securities transactions, ranging from crowdfunded private placements and venture capital funding for emerging companies, to significant equity and debt offerings for larger, more established companies.
