Corporate Governance

We combine professionals from our Corporate, Tax and Litigation practice groups to provide advice to directors, senior management and committees of public companies as they navigate the complexities of leading an organization. Our experience includes:

  • Advising boards of directors regarding governance and fiduciary duty matters
  • Advising board committees, particularly audit committees and compensation committees
  • Conducting internal investigations
  • Advising special committees in special transactions including MBO’s, LBO’s, and related party transactions
  • Establishing and documenting governance practices and procedures for boards and board committees
  • Assisting with SEC reporting obligations including 1934 Act compliance, including SEC reporting obligations, regulatory investigations and inquiries and Regulation FD compliance
  • Assisting with Sarbanes-Oxley compliance
  • Defending companies and its executives in shareholder litigation
  • Assisting with shareholder proposals and proxy access issues
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Disclaimer

This website provides general information about H3GM. It is not legal advice. Contacting us will not establish an attorney-client relationship. To protect you and our current clients, we cannot represent you until we know that there will not be a conflict of interest and we formally accept the engagement. Please do not send us any information until we complete a screening interview and enter into an engagement letter, thereby establishing an attorney-client relationship. Any information you provide prior to entering into an engagement letter with us will not be treated as confidential or secret and will not otherwise be protected.

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