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Find Lawyers in Indiana, United States for Securities / Capital Markets Law
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Marcus A. Heminger concentrates his practice in the areas of corporate and business law and securities law. He has extensive experience in corporate transactions, mergers, acquisitions, dispositions, joint ventures, private and registered public securities offerings, SEC reporting compliance, and NYSE and NASDAQ regulatory compliance. Prior to returning to Fort Wayne and joining Barrett McNagny, Marcus spent more than five years working at one of New York's largest law firms, where he gained ...
Curt Hidde advises clients on the many aspects of corporate transactions. Curt makes a point of understanding the underlying commercial objectives and specific financial drivers of each client, utilizing his decades of experience to achieve their transactional goals. Curt takes a practical approach to problem-solving and is able to break down complex legal concepts into terms clients can understand. Over the last 25 years, Curt has represented public and private companies in hundreds of corpo...
David Hooper provides experienced and practical advice to help clients grow and achieve success. Whether assisting public companies, financial institutions, closely held entities, fund sponsors, or individuals, David offers sophisticated guidance in a responsive and collaborative manner on securities, mergers and acquisitions, capital markets, and corporate law matters. David is the chair of the firm’s Securities and Capital Markets Practice Group and concentrates his practice in the ar...
Eric R. Moy is a partner in the Indianapolis, Indiana office of Barnes & Thornburg LLP. He serves a number of business clients, public and private, large and small, including financial institutions, manufacturers, entrepreneurs, and service companies. Mr. Moy serves the needs of his clients in a wide array of business, financing, regulatory, and transactional matters, including: Corporate Governance SEC and Financial Regulation Public Offerings Venture Capital and Private Placements Merge...
Attorney Sam Talarico, Jr., has over twenty years of experience representing corporate clients, with an emphasis on corporate governance, mergers & acquisitions, securities compliance, and private placements. He has assisted public companies with the preparation of 10-Ks, 8-Ks, 10-Qs, as well as proxy materials and press releases. He has served as lead counsel for a $100 million merger involving two public companies. He has prepared Hart Scott Rodino filings for multiple transactions. Sam...
Steve Thornton concentrates his practice in the areas of corporate finance, securities, commercial transactions and general corporate counseling. He assists businesses and individual clients with secured financings, restructurings, company acquisitions and dispositions, SEC compliance, and other general corporate matters. Of particular note, Steve is committed to providing the clear and straightforward communication required to advise privately held businesses. He focuses on taking the time t...
Thomas Lyons enjoys learning from and about his sophisticated, financial sector clients’ businesses – what they do, their business philosophies, and how their finances work – so he can help advise them in their business ventures. Thomas concentrates his practice in U.S. securities law and financial regulation, specifically working with clients on matters involving securities, derivatives, financial institutions, investment management, private investment funds, and mergers an...
Justin T. Molitoris concentrates his practice in the areas of mergers and acquisitions, data privacy and cybersecurity. He works with clients of all sizes including sole proprietors, family owned businesses and Fortune 500 companies assisting with a variety of corporate and business law matters, ranging from business formation and organization, corporate governance matters, contract drafting and review, and business transitions. He also has experience working on antitrust matters and assistin...
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