Jon represents clients in a broad range of transactional matters including (i) mergers and acquisitions, (ii) public and private equity and debt offerings, (iii) securities reporting and compliance and (iv) corporate-governance issues, with a particular emphasis on M&A and capital markets-related transactions involving publicly-traded companies. Of note, Jon has worked on a number of matters involving publicly-traded companies, including REITs.

With respect to M&A, Jon has extensive experience representing public and private clients in connection with mergers, stock transactions and asset deals. Jon routinely takes the lead on negotiating the primary transaction documentation, as well as any necessary registration and stockholder solicitation materials.

From an offering and reporting perspective, Jon has worked on a broad range of transactions including IPOs, bond offerings denominated in both the US dollar and the Euro, follow-on equity offerings, ATM offerings and registered direct offerings. Jon regularly advises clients listed on both the NYSE and the NASDAQ. With respect thereto, Jon routinely prepares periodic reports, proxy statements and other related documentation, and assists clients with interpreting and complying with the rules and regulations promulgated by the SEC, NYSE and NASDAQ.