Eryn Gordon advises corporate and financial institution clients on public and private securities transactions. As a member of the firm’s capital markets and public companies practice, she represents issuers, private equity sponsors and investment banks in initial public offerings, secondary and follow-on equity offerings, Rule 144A and Regulation S transactions, high-yield and investment-grade debt financings (including convertible and exchangeable debt), and other strategic capital-raising transactions, both unregistered and registered with the SEC. Her clients range from Fortune 500 companies to emerging companies across various industries.
Eryn also regularly counsels public company clients on SEC disclosure and reporting obligations, including annual, quarterly and periodic reporting under the Securities Exchange Act of 1934; corporate governance matters, including the requirements of NYSE, Nasdaq and other stock exchanges; and other business and compliance matters implicating the US federal securities laws.
Prior to joining Morgan Lewis, Eryn was an associate in the New York offices of two other major international law firms.
At prior firms: