Anne G. Plimpton

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Anne (Polly) G. Plimpton has more than 35 years of experience advising public companies, venture capitalists, family offices and other investors. She concentrates her practice on insider trading and reporting under Section 16, beneficial ownership on Schedules 13D and 13G, executive compensation, related person transactions and other proxy disclosure, corporate governance, board and committee structure, institutional investor initiatives, federal and state exceptions for private financings, Financial Industry Regulatory Authority (FINRA) regulations relating to public offerings and resales of restricted securities under Rule 144. Read Polly Plimpton's full bio.

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The U.S. Securities and Exchange Commission recently issued a proposed rule that would require public companies to disclose in annual proxy statements whether their employees and board members may hedge or otherwise offset any decrease in the market value of such companies’ equity securities. The proposed rule implements Section 955 of the Dodd-Frank Act and covers a broader range of transactions than typical hedging policies. Read the full article.…