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:
- FINRA Rule 6490 – Going Public Attorneys
- Are Rule 504 Shares Free Trading? Securities Lawyer 101
- SEC Proposes New Rules Regarding General Solicitation and Advertising in Rule 506 Offerings
- Regulation FD and Social Media l Securities Lawyer 101 l Blog
- What Causes a DTC Chill? Going Public Lawyers
- What Is a Transfer Agent ? Going Public Lawyers
- Securities Attorney Kelly Rogers Indicted for Role in Oil and Gas Scam
- SEC Trading Suspensions 101 l Securities Lawyer 101
- Using Form S-1 and F-1 Registration Statements When Going Public
- What Is a Form 144 Notice Of Sales? Rule 144 Requirements
- SEC Registration Statements In Going Public Transactions
- The Regulation D Exemption l Rule 506 l Going Public Lawyers
- What Is The Section 4(1) Exemption? Securities Lawyer 101
- Filing and Amending Form D under Regulation D
- What is a Form S-8 Registration Statement?
- How FINRA Rule 6490 Impacts Reverse Mergers