Our Israel Practice advises Israeli corporate clients on a range of corporate and securities matters, with a strong emphasis on capital markets transactions and SEC regulation. We have acted as U.S. counsel to numerous Israeli companies in connection with listings on Nasdaq and the New York Stock Exchange, including initial public offerings (IPOs), follow-on equity offerings and offerings involving American Depositary Receipts (ADRs). We also advise Israeli issuers on private placements, PIPEs and at-the-market transactions (ATMs). Our team also advises U.S. clients on investments in Israeli companies.
Our attorneys routinely counsel Israeli companies and their stakeholders on U.S. securities law compliance, including ongoing SEC reporting obligations and the application of home country practice exemptions available to foreign private issuers. We also advise clients on corporate governance matters, including compliance with stock exchange listing standards.
We leverage our familiarity with Israel’s business environment and our robust network of contacts in the region to deliver results for our clients. We collaborate closely with Israeli counsel, advisors, and auditors to navigate the legal and logistical complexities that arise in cross-border corporate transactions.
Our practice is trusted by Israeli technology companies, life sciences issuers, and industrial enterprises at various stages of growth. Whether executing a U.S. listing, navigating post-offering compliance, or structuring a cross-border investment, we bring the experience, precision, and responsiveness that Israeli companies and their advisors expect in today’s fast-paced global markets.
Team Members