Mr. McDonald's practice consists of business, corporate and securities representation, as well as securities and commercial litigation and securities and corporate transactions.
He has counseled clients in various financings and securities transactions, including public and private offerings, mergers and acquisitions and tender offers. He has also represented investment advisers and broker-dealers. He also advises public reporting clients regarding corporate governance, disclosure/reporting and compliance matters. In addition, Mr. McDonald regularly advises businesses on choice of entity and formation matters.
His securities litigation practice has included representing plaintiffs and defendants in complex class and derivative actions, representing underwriters with respect to county bond issues, defense of SEC, FINRA and Colorado Division of Securities investigations and civil enforcement proceedings and customer/broker arbitrations.