Judy Little's practice focuses on the areas of corporate finance, securities law, mergers and acquisitions, and SEC disclosure and reporting requirements. Judy's experience includes representations of public and privately held companies, primarily in the energy industry, in mergers, stock purchases and sales, and asset purchases; representation of issuers and investment bankers in various domestic and foreign public offerings; and representation of issuers in numerous domestic and foreign private placements.
Judy has represented clients in the following:
- Represented NYSE and NASDAQ listed companies in connection with capital markets transactions, both in the United States and internationally (including Rule 144A offerings and exchange offers)
- Represented investment banking firms in connection with underwritten equity and debt offerings
- Represented large Canadian energy companies and royalty trusts in connection with capital raising activities and hostile and friendly take-overs under the Multi-Jurisdictional Disclosure System
Judy recently co-authored a Haynes and Boone client alert entitled, "SEC Focus on Commodity Prices and Related Form 10-Q/10-K Disclosure."
Professional and Community Activities