Amy advises both private and public companies regarding securities compliance, corporate governance, debt and equity financing, and sales and acquisitions of businesses.
She also advises investment advisers, including investment fund managers, regarding compliance with the Investment Advisers Act, as well as providing general guidance with respect to strategic fund investments and sales and acquisitions of investment advisory businesses.
Amy provides fiduciary duty advice to special committees formed to deal with conflicts of interests or company crises.
Amy develops close working relationships with her clients to understand their business and industry challenges and opportunities, which enables her to provide strategic advice to help her clients achieve their objectives as efficiently as possible. She currently leads the firm's Securities and Capital Markets practice.