Lauren's practice is focused on corporate securities, corporate governance, mergers and acquisitions and public and private securities offerings. Her other areas of practice include Exchange Act, Sarbanes-Oxley, NASDAQ and New York Stock Exchange compliance and general corporate planning and representations.
- J.D., Southern Methodist University, 2003, Articles Editor, International Law Review Association; Member Phi Delta Phi.
- B.A., The University of Texas, 1999, University Honors
Significant AccomplishmentsShe has represented clients in various corporate matters including:
Stock and asset acquisitions and dispositions.
Representation as outside securities counsel for listed companies.
Equity and debt financings for privately and publicly held companies.
Securities offerings, including common and preferred stock offerings, debt offerings and initial public offerings.
Reporting obligations under the Securities Exchange Act of 1934 and conducting annual stockholder meetings.
Compliance with corporate governance regulations, including Sarbanes-Oxley and exchange listing standards.
Secondary offerings of securities and blue sky requirements.
© Haynes and Boone, LLP, 2017