Ron’s practice includes representing private and public companies in public and private offerings, mergers and acquisitions as well as general corporate matters. He also advises public companies regarding compliance with their Securities Exchange Act of 1934 requirements, including all periodic filings on Forms 10-K, 10-Q and 8-K. He also provides guidance and assistance to independent developers of power plant and transmission line projects as well as utility companies.

During law school, Ron interned in the Division of Enforcement at the Financial Industry Regulatory Authority (FINRA).

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