December 29, 2011 by
Craig Tzvi Gherman & Jan S. Wimpfheimer
Last week the U.S. Securities and Exchange Commission (the “SEC”) amended its rules to exclude the value of a person’s home from net worth calculations used to determine whether such individual qualifies as an “accredited investor”. The amendment is not “new law” but rather simply conforms the SEC rules with the Reform and Consumer Protection...
September 1, 2010 by
Deborah Kandel
NEW YORK, September 1, 2010 – Outside Counsel Solutions LLP, a full-service law firm, announced that Shanah Glick has become the head of the Derivatives and Energy practice groups. She was previously a partner at the New York law firm of Richards, Kibbe & Orbe LLP.
Shanah will lead the attorneys in her practice groups in the negotiation of sophisticated...
August 22, 2010 by
Craig Tzvi Gherman & Jan S. Wimpfheimer
When issuing securities in private offerings to U.S. investors, issuers (from companies to investment funds) often look to the registration exemptions and safe harbors afforded by Regulation D of the United States Securities Act of 1933 (the “Securities Act”). One of the key components of an exempted Regulation D offering is the “accredited investor”...
May 25, 2010 by
Deborah Kandel
Outside Counsel Solutions LLP , a full-service law firm, announced today the expansion of its corporate practice with the addition of Jan S. Wimpfheimer, a seasoned corporate lawyer with substantial experience both in the United States and abroad. Mr. Wimpfheimer, most recently a partner at Herzog, Fox & Neeman, will serve as Co-Managing Partner of...