Norman R. Miller advises public and private companies and funds on a broad range of corporate and securities matters. He focuses his practice on capital raises, including IPOs, public offerings of debt and equity, PIPEs and Rule 144A/Regulation S offerings, and private placements. Norman represents clients on mergers and acquisitions (and cross-border mergers and acquisitions), divestitures, and split-ups. He handles compliance matters for public companies involving SEC reporting and disclosure obligations, as well as NYSE and Nasdaq rules. Norman counsels boards of directors as well as audit, compensation, and nominating and governance committees on corporate governance issues. He also advises special committees of independent directors. Norman is experienced in matters involving hostile tender offers, proxy contests, activist shareholders and institutional shareholders. He also provides transactional and corporate representation to private equity funds and their portfolio companies. Norman represents corporate borrowers in connection with both the creation and the restructuring of credit facilities as well as consent solicitations of bond holders. He also serves as outside general counsel for public and private companies and advises companies on whistleblower claims.
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