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Best Lawyers in America for Corporate Governance and Compliance Law
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Brian Blaney concentrates his practice on corporate and securities law, mergers and acquisitions, and private equity investments. Brian has extensive experience in capital markets transactions including public and private offerings of equity and debt securities. Brian regularly advises public companies on mergers and acquisitions as well as on compliance with SEC reporting requirements, stock exchange listing rules, and general corporate matters. In addition to advising companies in a broad r...
Carolyn Duncan’s practice is concentrated in securities issuance and compliance matters. Experienced in a wide variety of public and private securities work, she represents issuers, underwriters, and other parties in numerous facets of this area of law, including public and private offerings of securities, registration and continuous disclosure matters, proxy solicitations, tender offers, business combinations, restricted securities and transactions by corporate insiders. She represents...
John M. Jennings is a top attorney recognized by Best Lawyers in the practice area(s) of Corporate Governance Law, Mergers and Acquisitions Law and Securities / Capital Markets Law. John M., who practices law in Greenville, South Carolina, has been recognized since 2009. This recognition is based on an exhaustive peer-review survey, reflecting the high esteem in which John M. is held by other top lawyers in the same geographic and legal practice area.
A former federal prosecutor with extensive investigation and first chair trial experience, Michelle Nasser focuses her practice on white collar criminal defense, internal and government investigations, and complex litigation. Before joining the firm, Michelle served for more than 13 years as an assistant U.S. attorney in the Major Case, Financial Crimes, General Crimes, and Violent Crimes sections of the U.S. Attorney’s Office in Chicago. She led and supervised government investigations...
Litigator James G. Martin defends corporations and individuals facing high-stakes, complex business lawsuits, white collar criminal charges, and allegations of corporate governance and compliance violations. A former U.S. attorney for the Eastern District of Missouri, Jim is regularly lead defense counsel in class action and civil litigation matters, including SEC fraud and healthcare fraud in False Claims Act (FCA) litigation. Corporations also call on him to lead internal investigations rel...
Jason Day is a partner with the firm's Business practice. He focuses his practice on securities regulations and public offerings. Jason counsels public companies on Securities Exchange Act of 1934, NYSE and NASDAQ compliance and disclosure issues. He also advises public company executives and boards regarding executive compensation, corporate governance, corporate finance, Sarbanes Oxley Act, Dodd-Frank Act, Regulation FD and Section 16 compliance. Jason's securities experience also includes ...
Patrick A. Miles, Jr. is a top attorney recognized by Best Lawyers in the practice area(s) of Corporate Governance Law and Corporate Law. Patrick A., who practices law in Grand Rapids, Michigan, has been recognized since 2025. This recognition is based on an exhaustive peer-review survey, reflecting the high esteem in which Patrick A. is held by other top lawyers in the same geographic and legal practice area.
David C. Tingstad maintains an extensive practice in the areas of business and real estate matters, limited liability companies (LLCs), corporations and real estate. David regularly counsels clients in all aspects of business including operations, asset acquisitions, conversions and mergers. In addition, his practice includes assisting operating businesses with succession planning, financing, dissolution and disputes between owners. David’s clients range from family businesses to renewa...
David M. Lynn is a partner in the Washington D.C. Office of Morrison & Foerster, and is co-chair of the firm’s Corporate Finance practice. He is the former Chief Counsel of the Division of Corporation Finance at the U.S. Securities and Exchange Commission. Mr. Lynn is a highly respected securities advisory counsel who provides guidance to clients ranging from Fortune 500 to newly-public companies on securities law compliance, as well as counseling on corporate governance, executive ...
Martin R. Galbut brings decades of counseling and litigation experience to the firm. He combines a distinct blend of corporate, securities, banking, real estate, antitrust, intellectual property, and finance counseling and litigation experience with tenacious thoroughness and unmatched client service. Martin represents both plaintiffs and defendants in a broad range of cases involving securities, banking and finance, labor and employment, corporate governance, intellectual property, antitrust...
David M. Eaton is a top attorney recognized by Best Lawyers in the practice area(s) of Corporate Compliance Law, Corporate Governance Law, Corporate Law, Mergers and Acquisitions Law, Securities / Capital Markets Law, Securities Regulation and Venture Capital Law. David M., who practices law in Atlanta, Georgia, has been recognized since 2013. This recognition is based on an exhaustive peer-review survey, reflecting the high esteem in which David M. is held by other top lawyers in the same ge...
Maureen Brennan Gershanik is a partner in Fishman Haygood’s Business Section. She practices primarily in the areas of corporate law and governance, securities law, and mergers and acquisitions. She also advises clients on ESG initiatives. Maureen has an active business transactional and advisory practice. She works with clients on public and private offerings of debt and equity securities, acquisition transactions, restructuring transactions, business separations, new business formation...
Alexander Gansebom represents clients in a range of corporate matters, with a particular focus on mergers & acquisitions, venture capital, private equity, capital raising and general corporate governance. Alex advises clients on complex corporate transactions, including buy-side and sell-side mergers & acquisitions, equity and asset acquisitions and divestitures, joint ventures, and capital raises. Alex also advises clients on corporate governance and other matters. Alex has worked wi...
Jonathan H. Lee is a top attorney recognized by Best Lawyers in the practice area(s) of Corporate Governance and Compliance Law, Corporate Law, Mergers and Acquisitions Law, Securities / Capital Markets Law and Securities Regulation. Jonathan H., who practices law in Irvine, California, has been recognized since 2022. This recognition is based on an exhaustive peer-review survey, reflecting the high esteem in which Jonathan H. is held by other top lawyers in the same geographic and legal prac...
Annamarie Carty is a top attorney recognized by Best Lawyers in the practice area(s) of Business Organizations (including LLCs and Partnerships) and Corporate Governance and Compliance Law. Annamarie, who practices law in Portland, Oregon, has been recognized since 2024. This recognition is based on an exhaustive peer-review survey, reflecting the high esteem in which Annamarie is held by other top lawyers in the same geographic and legal practice area.
Our Methodology
Recognition by Best Lawyers is based entirely on peer review. Our methodology is designed to capture, as accurately as possible, the consensus opinion of leading lawyers about the professional abilities of their colleagues within the same geographical area and legal practice area.
The Process
Best Lawyers employs a sophisticated, conscientious, rational, and transparent survey process designed to elicit meaningful and substantive evaluations of the quality of legal services. Our belief has always been that the quality of a peer review survey is directly related to the quality of the voters.