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Don's practice is focused on mergers, acquisitions and divestitures, securities regulation and offerings, and investment company law. His clients include registered broker-dealers, registered investment advisors, mutual fund families, issuing companies and underwriters. In addition, his securities practice includes Initial Public Offerings, both exempt and non-exempt transactions under state and federal securities laws, Blue Sky matters, and disciplinary and regulatory proceedings with the SEC and FINRA.
Nebraska
University of Nebraska, J.D., with distinction, 1966 University of Pennsylvania; University of Nebraska, B.A., 1964
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Listed: Best Lawyers in America (Woodward/White, Inc.) (Corporate Law)
- Listed: Chambers USA, America's Leading Lawyers for Business, (Chambers & Partners Publishing) (Corporate/Mergers and Acquisitions)
- Listed: Great Plains Super Lawyers (Mergers and Acquisitions)
- Staff Attorney, U.S. Securities & Exchange Commission, Washington, D.C., 1966-1967
- Board of Directors, Nebraska Law Review, 1964-1966
- Order of the Coif
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