Practice Areas

Securities

Strong & Hanni can assist you with all aspects of securities law transactions. We can help you properly organize and structure the business, issue stock or other securities, effect private placements, comply with 1933 Securities Act and 1934 Exchange Act requirements, file proxy statements, annual reports, and prepare initial private and public offering documents. The firm has extensive experience in handling securities litigation matters and in representing companies before the Utah Division of Corporations and Utah Division of Securities. We also assist clients with broker dealer and investment advisor compliance.

Group Members

Paul W. Hess Practice Group Leader801.532.7080 • phess@strongandhanni.com

Graden P. Jackson 801.532.7080 • gjackson@strongandhanni.com

Scott R. Jenkins 801.532.7080 • sjenkins@strongandhanni.com