She counsels companies on SEC reporting and compliance, corporate governance issues, public offerings, and private placements of debt and equity. She also has substantial experience negotiating and closing complex business transactions, including mergers and acquisitions.
Morgan is an associate in Womble Carlyle’s Corporate and Securities Practice Group and a member of the Public Company Advisors Team. Morgan is steeped in the regulations concerning SEC reporting and compliance obligations. She advises issuers on a broad range of securities matters, including compliance with the Sarbanes-Oxley Act and Dodd-Frank Act, Section 16 reporting, disclosure under Regulation FD, and periodic reporting on Forms 8-K, 10-Q, and 10-K.
Morgan’s experience extends to both public and private companies.
Articles in the National Law Review database by Morgan C. Arndt