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Securities and corporate finance attorneys advise their clients on regulatory compliance and risk factors of business transactions such as mergers and acquisitions, public stock and bond offerings, and Securities and Exchange Commission reporting.
Clients range from corporations to individual investors though some attorneys restrict their practice to representing a particular type of client.
Securities and corporate finance law describes the transactional side of securities law.
The securities litigation practice area refers to attorneys focusing on the litigation side of this field.
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