Practice Areas
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Allan Grauberd
Partner
agrauberd@mosessinger.com
T: (212) 554-7883 F: (917) 206-4381
Allan Grauberd is the chair of the firm’s Securities and Capital Markets group. He practices primarily in the corporate and securities areas including venture capital and private placement transactions, public offerings, general representation of public companies with respect to ongoing securities and regulatory compliance, mergers and acquisitions and international securities offerings. Allan provides general representation for a variety of companies in a broad spectrum of industries, in the areas of corporate finance, shareholder relations, employee matters and intellectual property licensing. He regularly represents venture capital funds with respect to their portfolio investments. Allan has represented a variety of companies in international distribution and licensing arrangements, as well as facilitating cross border equity and debt transactions. He is also licensed to practice law in the State of Israel, where he spent several years at a Tel Aviv law firm representing Israeli companies with respect to U.S. securities offerings, as well as representing U.S. investors with respect to their technology investments in Israel.
EDUCATION
- Fordham University School of Law, J.D.
- California State University, Northridge, B.A.
ARTICLES
- "The JOBS Act: New Avenues for Raising Capital," Moses & Singer Client Alert, April 2012.
- "SEC’s “Bad Actor” Proposal Poses Challenges for Rule 506 Issuers," Moses & Singer Client Alert, June 2011.
- "Proxy Access Rule: A Major Change in Governance is in Limbo," Moses & Singer Client Alert, November 2010.
- "SEC Proposes New Rule For Family Offices Under Dodd-Frank Act," Moses & Singer Client Alert, October 2010.
- "Dodd-Frank Act Permanently Exempts Non-Accelerated Filers From SOX Section 404(b)’s Auditor Attestation Requirement," Moses & Singer Client Alert, August 2010.
- "Dodd-Frank Act Changes Definition of Accredited Investor for Private Placements of Securities," Moses & Singer Client Alert, July 2010.
- "Madoff - Analysis of the Recent Decision Regarding the Scope of SIPA Protection," Moses & Singer Bankruptcy Update, March 2010.
- "Impact of SEC Rule Changes on Proxy Statement Disclosure," Moses & Singer Client Alert, December 2009.
- "SEC Rules for Smaller Public Firms, Rule 144 Changes," written by Allan Grauberd with assistance from John J. Hart, New York Law Journal, April 2008.
- "The SEC’s Securities Offering Reform and Small Public Companies," New York Law Journal, December 2005.
- "Securities Watch," Moses & Singer, LLP Newsletter, September 2005.
- "Principal Issues Involved in Negotiating Large System Software Licensing Deals," New York Law Journal, June 1999.
- "Legal Concerns About International Distribution Contracts," Long Island Journal, April 1995.
PRESENTATIONS
- "The Madoff Affair: What Happened, Dealing with the Consequences, and How to Avoid Investment Fraud," Temple Israel Men's Group, May 2009.
- "The Sarbanes-Oxley Act of 2002: What New York Attorneys Need To Know," National Business Institute, Long Island. December 2003.
PROFESSIONAL AFFILIATIONS
- Connecticut Venture Group
- New York Venture Group
- The New York Software Industry Association
BAR/COURT ADMISSIONS
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