Shareholder
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A Shareholder in the Firm’s Corporate, Securities & Tax Practice, Lori Metrock concentrates her work in the areas of corporate and securities law and mergers and acquisitions. She advises public companies on a day-to-day basis, and she handles their public and private securities offerings, including initial public offerings and follow-on offerings, corporate governance, and Exchange Act compliance work. She also provides counsel to NASDAQ and NYSE listed companies on their regulatory compliance. Lori has experience drafting equity compensation plans and guiding public companies on executive compensation matters and related regulatory compliance. She regularly advises boards of directors and committees on fiduciary duties and governance issues. Lori’s private company work includes private offerings of securities, corporate governance counsel, general corporate work, mergers and acquisitions, and large internal corporate reorganizations involving dozens of subsidiaries. In addition to her securities practice, Lori has extensive mergers and acquisitions experience which includes the representation of REIT clients in strategic transactions.