Naveen Pogula is a partner in the Corporate Practice and focuses his practice on public and private capital markets transactions, as well as a broad range of securities compliance and corporate governance matters. He has extensive experience advising public companies on corporate governance and securities matters, including compliance with SEC registration and periodic reporting requirements. These requirements include annual and quarterly reports, Form 8-K filings, proxy statements and annual meetings, and Section 16 filings, as well as compliance with NYSE and Nasdaq exchange listing rules.
Naveen also has significant experience in capital markets and financing transactions, including representation of issuers, underwriters and investors. Further, Naveen assists buyers, sellers and investors in mergers, acquisitions, dispositions and other business combination transactions.