Yolanda’s practice focuses on capital market transactions and U.S. securities laws matters, advising corporate and sovereign issuers, financial sponsors and investment banks in connection with a wide range of capital markets transactions, including initial public offerings, follow-on equity offerings, high yield and investment grade bond offerings under Rule 144A, Regulation S and other private placement transactions, as well as U.S. SEC-registered offerings.
She also advises clients regarding a range of US general corporate governance and securities laws matters, including SEC periodic reporting and disclosure requirements, Section 13 requirements and securities transfer issues.