Hamilton & Associates was founded in 1999 by Brenda Hamilton, a securities attorney. Since its inception, the securities lawyers at Hamilton & Associates have focused on going public transactions, corporate finance and securities law. The firm's securities lawyers have represented more than 300 market participants in going public, corporate finance and securities law matters. Additionally, the firm’s securities lawyers have assisted issuers who go public direct in all aspects of SEC compliance related to their transition from private to public company status. The firm’s securities lawyers have represented issuers in direct public offerings as well as IPO’s and conducted due diligence in reverse merger and other complex going public transactions.
The firm represents issuers going public domestically and internationally using underwritten and direct public offerings.
The firm’s founder, securities lawyer, Brenda Hamilton, is recognized for her experience in internal and corporate investigations including forensic analysis of securities transactions, reverse mergers and going public transactions, Form S-1 and other SEC Registration Statement disclosures, corporate hijackings and trading transactions. Ms. Hamilton has participated in Dodd Frank matters involving more than 300 publicly traded corporations with losses exceeding an estimated $1,000,000,000.
Brenda Hamilton as a securities attorney prepares SEC disclosures in “going public” matters, SEC registration statements, direct public offerings on Form S-1, otcmarkets’ reporting, PPM's Rule 144 matters, investor relations compliance and Form S-1 disclosures. Her services include matters arising under the JOBS Act and structuring Rule 506 and direct public offerings using Form S-1. As a securities lawyer, Ms. Hamilton prepares Form 10, Form S-1, Form 10-K and other SEC reports and registration statements for going public transactions.