Finance Practice Group

Our Finance Practice Group advises clients on the full range of public and private legal finance issues. We deliver tailored solutions to the most complex legal issues.

We represent financial sponsors, corporations, financial institutions at all stages of transactions, from origination, negotiation and documentation to closing. Our lawyers are not just experts in the legal frameworks impacting financial transactions; they also have a complex understanding of the financial transactions and instruments themselves.

Corporate Finance

Our team of finance lawyers offer brilliant insight into areas of finance, representing investment and commercial banks, public and private companies, and regulatory authorities that actively help shape the market.


Our banking attorneys work seamlessly with our other practice areas including our M&A Group, private equity, corporate restructuring, corporate finance and structured finance practices to provide the highest quality advisory in all types of financing transactions.

Financial Services

We offer a full range of legal services for financial services issues and transactions. Whether its asset management, derivatives, or investment management; Argon Black lawyers offer unmatched expertise.

Investment Management

We represent sponsor and investor clients in investment management activities in the United States and across the globe. We advise in the formation, structuring and negotiation of private investment vehicles, as well as on the full spectrum of securities, tax and regulatory issues typically associated with such transactions.

Argon Black assists in the formation and ongoing operations of:

  • Debt funds (including mezzanine and distressed)
  • Emerging markets funds
  • Energy and infrastructure funds
  • Global/international funds
  • Leveraged buyout funds
  • Real estate funds
  • Venture capital funds
  • Other industry/sector funds
  • Securities Regulation

    Our Securities Regulation practice advises public and private companies, management, boards of directors and board committees on a full range of matters. We provide advisory for matters involving securities offerings and compliance and disclosure matters under:

  • Securities Act of 1933
  • Securities Exchange Act of 1934
  • Sarbanes-Oxley Act and the Dodd-Frank Act
  • related SEC rules and the listing standards of the New York Stock Exchange, NASDAQ Stock Market and other stock markets.
  • Capital Markets

    Volatility and regulatory change since the 2008 financial crisis have greatly impacted the pressure and difficulty of working within the capital markets sector. Participants experience demands for greater transparency and increasing litigation. These changes make raising and managing capital while complying with legal requirements an increasingly difficult task. Appropriate legal expertise can relieve some of the stress associated with this daunting experience.