Brenda Hamilton, NYSE, Nasdaq, Securities and Going Public Lawyer
Profile:
Brenda Hamilton is the Founder & Managing Partner of Hamilton & Associates Law Group, P.A., and the principal of the SecuritiesLawyer101.com legal resource brand. Hamilton & Associates Law Group, P.A. +3 Hamilton & Associates Law Group, P.A. +3 Justia Lawyer Directory +3Practice Focus She specializes in corporate, securities, business, and transactional law, advising both domestic and international clients on going-public transactions, regulatory compliance, disclosures, capital raising, and enforcement matters. Justia Lawyer Directory +3 Hamilton & Associates Law Group, P.A. +3 Hamilton & Associates Law Group, P.A. +3Her work spans IPOs, direct public offerings, exchange listings (NASDAQ, NYSE, OTC), corporate restructurings, and forensic securities counsel. Hamilton & Associates Law Group, P.A. +3 Hamilton & Associates Law Group, P.A. +3 Hamilton & Associates Law Group, P.A. +3Experience & Notable EngagementsShe has served as U.S. Outside General Counsel to a global, NYSE-listed conglomerate with revenues in the hundreds of millions and operations in multiple countries. Hamilton & Associates Law Group, P.A.She has represented issuers in SEC registration, reporting, and compliance—from small offerings (< $1 million) to deals over $300 million. Hamilton & Associates Law Group, P.A. +2 Hamilton & Associates Law Group, P.A. +2She has taken on regulatory, forensic, and securities enforcement matters, including matters involving trading schemes, sanctions, and securities fraud. Hamilton & Associates Law Group, P.A. +2 Hamilton & Associates Law Group, P.A. +2She has acted as an Independent Compliance Consultant in an SEC administrative matter, advising a registered transfer agent on implementing reforms. Hamilton & Associates Law Group, P.A.Media & Thought Leadership Brenda Hamilton is frequently cited in major media outlets for her securities law expertise, including Forbes, Bloomberg, Business Insider, and South Florida Business Journal. Hamilton & Associates Law Group, P.A.Her blog, SecuritiesLawyer101, regularly covers topics in capital markets, going public processes, NYSE, Nasdaq abd OTC Markets, and securities regulations.
Posts by Brenda Hamilton, NYSE, Nasdaq, Securities and Going Public Lawyer:
- SEC Announces Asset Freeze In EB-5 Offering Scheme
- What is a Penny Stock Email Campaign ?
- SEC Charges Vincente Garcia Under FCPA
- SEC Charges Microcap Stock Promoters
- Regulation D and PPM Lawyers – Going Public
- Signator Investors Settles SEC Charges
- What Are Fiduciary Duties? Going Public Attorneys
- Aegis Capital Corporation fined $950,000 By FINRA
- Regulation A+ Lawyers & Going Public Attorneys
- Going Public Shareholder Requirements l Going Public Lawyers
- Disclosure Obligations in Regulation A+ Offerings
- What In The World Is A Security? Going Public Lawyers
- SEC Charges Phillip Kueber – Going Public Attorneys
- Securities Law & Going Public Attorneys
- How Do I Use Regulation A+ to Go Public? Sponsoring Market Maker Attorneys
- Oppenheimer Employees Settle Penny Stock Charges
- Regulation A+ Primer – Going Public Attorneys
- Regulation A+ Attorneys – Avoid Reverse Mergers
- Regulation A+ Adds Two New Bad Actor Disqualification Triggers
- What are SEC Comments? Going Public Attorneys
- SEC Halts Ponzi Scheme Targeting Spanish and Portuguese Communities
- Tweeting Your Regulation A+ Offering – Going Public Attorneys
- A Tale of Two Stings: The Amogear and CitySide Reverse Merger
- Regulation A CD&I Released- Going Public Attorneys
- Harold BJ Gallison & Others Indicted – Securities Lawyer 101
- SEC Suspends Smart Ventures, Inc. (SMVR)
- Trader Who Ate Post-It Notes Settles Insider Trading Case
- Regulation A+ Pointers For Going Public
- Illinois Court Orders Production of Documents By Navistar in SEC Investigation
- SEC Charges Former Stockbroker with Conducting Ponzi Scheme