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Securities
Regulation
The
Firm's securities practice includes the representation of both
issuers and underwriters involved with the private placement,
registration and public offering of securities in compliance with
the Securities Act of 1933. Triplett, Woolf and Garretson also
assists clients in meeting reporting obligations under the Securities
Exchange Act of 1934.
In
addition, we represent broker/dealers and investment advisers,
and counsel clients with respect to such matters as take-over
issues, proxy solicitations, and officer and director reporting
and accountability.
Thomas
P. Garretson
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Taxation
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