About

Rebecca DiStefano concentrates her diverse practice in the areas of securities regulation, corporate finance, and mergers and acquisitions law and serves on the firm's Blockchain

Rebecca DiStefano concentrates her diverse practice in the areas of securities regulation, corporate finance, and mergers and acquisitions law and serves on the firm's Blockchain Task Force. Rebecca counsels public and private companies in areas including private placements, registrations, Regulation A+ qualifications, and crowdfunding under the JOBS Act of 2012 and the Securities Act of 1933. Related to these transactions, she advises companies and their boards regarding attendant corporate governance best practices, fiduciary duties, continuing disclosure and reporting requirements of Regulation A+ and the Securities Exchange Act of 1934, as well as secondary trading issues and the initial and continued listing of corporate securities on the stock exchanges and electronic quotation systems. Additionally, she structures and organizes for clients non-U.S. regulated investment vehicles including private equity funds, funds of funds, and hybrid funds. Rebecca regularly represents her clients before the U.S. Securities and Exchange Commission and FINRA.

 

About

Rebecca DiStefano concentrates her diverse practice in the areas of securities regulation, corporate finance, and mergers and acquisitions law and serves on the firm's Blockchain

Rebecca DiStefano concentrates her diverse practice in the areas of securities regulation, corporate finance, and mergers and acquisitions law and serves on the firm's Blockchain Task Force. Rebecca counsels public and private companies in areas including private placements, registrations, Regulation A+ qualifications, and crowdfunding under the JOBS Act of 2012 and the Securities Act of 1933. Related to these transactions, she advises companies and their boards regarding attendant corporate governance best practices, fiduciary duties, continuing disclosure and reporting requirements of Regulation A+ and the Securities Exchange Act of 1934, as well as secondary trading issues and the initial and continued listing of corporate securities on the stock exchanges and electronic quotation systems. Additionally, she structures and organizes for clients non-U.S. regulated investment vehicles including private equity funds, funds of funds, and hybrid funds. Rebecca regularly represents her clients before the U.S. Securities and Exchange Commission and FINRA.

 

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