Frank Zarb is a partner in the Corporate Department, where he concentrates his practice on regulatory matters under the federal securities laws, as well as on U.S. and cross-border corporate transactions. He counsels public and private companies, as well as broker-dealers and other financial intermediaries, on a wide range of regulatory compliance matters, including public disclosure and preparation of periodic reports; the federal and state proxy requirements, shareholder proposals and other shareholder communications; stock exchange listing standards; and new laws and regulations under the Dodd-Frank legislation.
In his transactional practice, Frank advises on a variety of corporate transactions, including U.S. and cross-border equity and debt finance transactions, as well as business combination transactions.