Join us at the Practising Law Institute’s Private Placements and Hybrid Securities Offerings 2025 conference.

This annual conference provides an overview of the legal framework applicable to private and exempt offerings, covering the basics of private placements, resales of restricted securities, Rule 701, Rule 144, Section 4(a)(1-1/2) transactions and block trades, and private secondary transactions.  The second half of the program focuses on doing deals.  Topics include the documentation, principal negotiating issues, and market developments relating to late-stage or pre-IPO private placements, traditional private placements, PIPE transactions, equity lines of credit, Rule 144A offerings, registered direct offerings, at the market offerings and confidentially marketed public offerings.  This year’s program features a new session on 4(a)(2) debt private placements (“insurance” private placements)

Given the anticipated changes to the accredited investor definition and to the securities offering framework, contemplated in recent legislation and discussed by the SEC’s Acting Chair, the panelists will provide useful insights on the growth of the private markets, reliance on hybrid offerings, areas of potential change and more.

Chaired by Anna Pinedo, co-author of PLI’s Exempt and Hybrid Securities Offeringsthis year’s conference features experienced practitioners, including Mayer Brown partner Jennifer Zepralka, as well as in-house counsel and bankers.

For more information, visit the event website.