Curtis, Mallet-Prevost, Colt & Mosle LLP
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Practice Areas

Broker-Dealer

 

The Firm’s diversified broker-dealer practice encompasses all aspects of the formation, operation and sale of U.S. and foreign broker-dealers. The Firm has assisted numerous regional, national and foreign broker-dealers in all aspects of their formation and registration with federal and state regulatory authorities. The Firm has recently been particularly active in representing third-party marketers and consultants to hedge funds, merger and acquisition advisory firms and others who act as “private placement” broker-dealers. Members of the Firm have also written articles addressing the “finder’s” exception to broker-dealer registration.

In addition, the Firm has routinely represented its broker-dealer clients in debt and equity financings, employee stock option plans and a variety of regulatory and compliance issues dealing with the Patriot Act and anti-money laundering regulations. Members of the practice group have also counseled and written on the marketing and sale of hedge funds by broker-dealers. The Firm also counsels clients with respect to the merger, sale and succession of broker-dealers.

Several members of the Firm were formerly with the Securities and Exchange Commission and are active in broker-dealer regulatory associations such as the Securities Industry Association's Compliance and Legal Division.

The Firm’s litigation group also has an active practice representing broker-dealers in arbitrations, litigations and governmental investigations nationwide.

Examples of the Firm’s experience in this area include:

  • Representation of an international financial institution and primary dealer of government securities in connection with review and revision of written supervisory procedures.
  • Representation of a convertible bond arbitrage firm in connection with its formation of a registered broker-dealer and registration in 30 states.
  • Representation of a cable and communications investment bank in connection with its formation of a registered broker-dealer.
  • Representation of a firm specializing in dividend reinvestment plans and its formation of an NASD broker-dealer.
  • Representation of a broker-dealer in connection with more than US$150 million of debt and equity offerings.
  • Representation of a Spanish bank in connection with the formation of a registered broker-dealer.
  • Representation of a registered broker-dealer in connection with a restructuring of its capital structure.
  • Representation of mergers and acquisition advisory firm in connection with the formation and registration of a broker-dealer subsidiary, structuring of equity financing and ongoing regulatory and compliance issues.
  • Representation of a U.S. broker-dealer in connection with joint venture and applications for various approvals to the American Stock Exchange.

Partners & Counsel
The following partners and counsel practice in this area:

 
 

Curtis, Mallet-Prevost, Colt & Mosle LLP
Attorneys & Counsellors at Law


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