Mr. Cutler provides a wide range of securities-related services geared towards ensuring a company’s regulatory compliance with the Securities Exchange Act of 1934, Securities Act of 1933 and state “blue sky laws.” He has worked on several IPOs and prepared numerous SEC disclosures over the years, including drafting and filing registration statements on Forms S-1 and S-3, annual statements on Form 10-K, quarterly statements on Form 10-Q and proxy statements. He has also represented directors, executives and shareholders in complying with their beneficial ownership reporting obligations.
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