Lawrence D. Larry Levin

Lawrence D. Larry Levin

Securities / Capital Markets Law

0.0 (0 reviews)
Chicago, Illinois
40+ years experience
Katten
Updated:

Contact Information

525 West Monroe Street, Chicago, IL 60661-3693
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Bio

Lawrence Levin primarily represents public companies, private companies and investment banks on a wide range of regulatory, transactional and general corporate matters. He is the co-head of Katten's Corporate Securities practice in Chicago.Larry primarily advises publicly traded issuers on day-to-day federal securities law disclosure and compliance matters and board corporate governance. He also represents issuers and underwriters in offerings of equity, debt, Rule 144A high-yield offerings and related registered exchange offerings, and PIPE transactions. Larry also represents buyers and sellers in public and private acquisitions and divestitures of stock and assets. Larry's clients span a variety of industries, including manufacturing, technology, educational services, financial services and investment banking. Before law school, he worked as a certified public accountant at an international public accounting firm.He is the co-author of the "2014 Handbook for Preparing SEC Annual Reports and Proxy Statements" (Wolters Kluwer Law & Business, 13th ed.). Lawrence Levin primarily represents public companies, private companies and investment banks on a wide range of regulatory, transactional and general corporate matters. He is the co-head of Katten's Corporate Securities practice in Chicago. Larry primarily advises publicly traded issuers on day-to-day federal securities law disclosure and compliance matters and board corporate governance. He also represents issuers and underwriters in offerings of equity, debt, Rule 144A high-yield offerings and related registered exchange offerings, and PIPE transactions. Larry also represents buyers and sellers in public and private acquisitions and divestitures of stock and assets. Larry's clients span a variety of industries, including manufacturing, technology, educational services, financial services and investment banking. Before law school, he worked as a certified public accountant at an international public accounting firm.He is the co-author of the "2014 Handbook for Preparing SEC Annual Reports and Proxy Statements" (Wolters Kluwer Law & Business, 13th ed.).

Practice Areas

Securities / Capital Markets Law

Awards & Recognition

  • Lawyer of the Year: Securities / Capital Markets Law, Chicago (2023)
  • Lawyer of the Year: Securities Regulation, Chicago (2021)
  • Lawyer of the Year: Securities / Capital Markets Law, Chicago (2020)
  • Lawyer of the Year: Securities / Capital Markets Law, Chicago (2018)
  • Lawyer of the Year: Securities Regulation, Chicago (2017)
  • Recognized: Securities / Capital Markets Law
  • Recognized: Securities Regulation
  • Practice Area: Corporate Law
  • Practice Area: Education Law

Recognized in Best Lawyers since 2010

Education

  • University of Illinois College of Law, J.D., graduated 1985

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