John S. Mitchell, Jr.

John Mitchell focuses his practice on corporate and securities law and mergers and acquisitions. Mr. Mitchell represents publicly-traded companies in complying with SEC regulations, as well as Nasdaq and stock exchange listing and disclosure requirements. He also advises their management and boards of directors on their fiduciary obligations and corporate governance issues. In connection with this representation, he counsels clients on investor relations, executive compensation, dealings with auditors, underwriters and financial advisors, and corporate ethics and insider trading compliance.

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