Ms. Bowler's practice focuses on:
corporate finance transactions including public and private securities offerings;
compliance with the Securities Exchange Act of 1934 and the Investment Advisers Act of 1940;
corporate governance and general business matters;
mergers and acquisitions; and
private client individualized advice regarding securities investments.
Equity transactions have included initial public offerings, secondary public offerings, PIPE transactions and private offerings for companies in a broad range of industries.
Ms. Bowler advises boards of directors of public and private companies regarding fiduciary duties and general corporate governance matters. She also represents special committees of boards considering certain transactions.
Ms. Bowler provides securities advice to a number of private funds investing in various sectors of the economy, including hedge funds, private equity funds and venture capital funds. The securities advice has included advice regarding compliance with the Investment Advisers Act for the managers of the funds.
She advises individual, wealthy clients regarding legal risks of specific investments, as well as securities and business law issues relating to certain estate planning transactions.
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