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Raymond Fuller is a counsel in the Corporate Department. He joined the firm in 2005.
Practice
Mr. Fuller has extensive experience in public company securities law matters and the formation of private equity funds. He works on all aspects of private equity fund formation and administration, including drafting and negotiating Private Placement memoranda, LP and LLC Agreements, and subscription documents. He also advises fund clients and portfolio companies with respect to preparing and filing periodic reports required by the securities laws, the sale of restricted securities, resale issues pursuant to Section 16 and Rule 144, distributions in kind, and stock sales by portfolio companies.
Mr. Fuller has prepared and filed Form S-1 Registration Statements for fund portfolio companies conducting initial public offerings and has advised public companies on various aspects of United States securities laws, including the Securities Act of 1933, the Securities Exchange Act of 1934 and the Sarbanes-Oxley Act. In addition, Mr. Fuller has experience representing public companies in connection with the preparation and filing of their periodic, quarterly and annual securities filings, the preparation and filing of proxy statements, and the organization of annual shareholder meetings. Mr. Fuller has also represented public companies in connection with PIPE transactions and shelf offerings.
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