Jason Day is a partner with the firm's Business practice. He
focuses his practice on securities regulations and public offerings. Jason
counsels public companies on Securities Exchange Act of 1934, NYSE and NASDAQ
compliance and disclosure issues. He also advises public company executives and
boards regarding executive compensation, corporate governance, corporate
finance, Sarbanes Oxley Act, Dodd-Frank Act, Regulation FD and Section 16
compliance. Jason's securities experience also includes representation of
issuers and underwriters in public securities offerings, including initial
public offerings. He has also represented clients in spin-offs, PIPEs, 144A
offerings, shelf registrations, private placements and tender offers. In
addition, Jason represents buyers and sellers in mergers and acquisitions.