Overview

Michael Blane is an associate in the Corporate Practice Group in the firm's New York office.

Areas of Practice

Michael’s practice focuses on capital markets transactions and public company corporate governance and compliance. He has extensive experience representing issuers and underwriters in public and private offerings, including initial public offerings (IPOs), private investments in public equity (PIPEs), registered direct offerings (RDOs), confidentially marketed public offerings (CMPOs), and at-the-market offerings (ATMs).

Michael also counsels clients on SEC reporting and compliance, including ongoing Exchange Act reporting obligations, proxy statement preparation, and compliance with Nasdaq and NYSE listing standards. He provides strategic and practical guidance, helping clients navigate regulatory requirements and achieve their business objectives.

Education

J.D., Maurice A. Deane School of Law at Hofstra University, 2021

B.A., State University of New York at Binghamton, 2018

Admissions

  • New York
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