Maggie is a Shareholder in Maynard Cooper’s Corporate, Securities & Tax Section and a member of the firm’s Securities Regulation and Corporate Finance, Corporate Governance and Compliance, and Mergers and Acquisitions practice groups.
She represents both private and publicly held companies in securities offerings and mergers and acquisitions, and counsels public companies on a broad range of governance matters.
Maggie regularly assists publicly held companies with insider ownership reporting and annual, quarterly and current reports filed with the Securities and Exchange Commission. She also counsels both new and established public companies regarding their public reporting obligations and other issues related to their public company status, including compliance with the Dodd-Frank Act, the Sarbanes-Oxley Act, and NYSE and NASDAQ listing standards.
In addition to her practice in the securities and corporate governance arenas, Maggie’s experience also extends to the representation of private equity funds, venture capital funds and corporate investors in mergers and acquisitions and various financing transactions.