We advise public company clients on preparing their periodic reports under the federal securities laws, including matters related to the Sarbanes-Oxley Act of 2002, as well as evolving corporate governance standards, keeping them current on the continual regulatory changes and developing “best practices.” We also assist clients in understanding and implementing corporate governance practices that comply with related SEC rulemaking and requirements imposed by stock exchanges. Beyond the strict legal requirements of public company disclosure, we help clients implement additional procedures to improve their corporate governance, respond to shareholder proposals and avoid litigation.