Scott Brown
Attorney @Luse Gorman, Pc
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WORK HISTORY
Attorney @Luse Gorman, Pc
Washington, DC, US
I counsel clients on a wide range of corporate and securities matters, including mergers and acquisitions, public and private securities offerings, Securities and Exchange Commission reporting compliance and corporate governance matters. I regularly represent a variety of companies in the financial services industry, such as publicly and privately-held financial institutions, mutual institutions, including mutual holding companies, and investment banking firms. I also advise financial institutions with respect to various federal and state corporate, regulatory and compliance matters.My securities experience includes representing issuers and underwriters in initial and secondary public offerings and private placements of securities. I assist companies in their reporting and disclosure obligations under federal and state securities laws and other regulations applicable to corporations, directors, officers and principal shareholders, including insider trading matters, resale restrictions and Section 16 matters.I have extensive experience in a wide variety of business combinations, including mergers and acquisitions, stock purchases and asset transfers, particularly those involving financial institutions and public companies.
EDUCATION
Bucknell University
BA, Political Science
The George Washington University Law School
Doctor of Law (JD), Law
SKILLS
ABOUT SCOTT BROWN
Corporate and Financial Institutions Partner at Luse Gorman, PC
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