Craig is a member of the firm’s Corporate & Business and Securities Regulation & Corporate Compliance Practices. He has represented domestic and international clients in a range of industries on a variety of business transactions and general corporate issues, with a particular focus on representing issuers as well as underwriters in a range of securities offerings, including equity offerings, registered and non-registered high-yield and investment-grade debt offerings, exchange offers and tender offers. He also advises publicly traded companies on compliance with their obligations under the U.S. securities laws and stock exchange listing requirements in preparation of their Exchange Act reports and on corporate governance matters.
WHAT CLIENTS SAY
"Craig's client focus is evidenced by how super responsive he is and his skill in dealing with our team from top to bottom."
MY CLIENT PHILOSOPHY
"I strive for clients to view me as an integral part of their team and a trusted counselor who provides thoughtful, business-oriented solutions. In order to build these long-term relationships, I aim to be responsive, proactive and deliver excellent work product and to understand my clients’ businesses and corporate cultures, all with the ultimate objective of making my clients’ lives easier and helping them to achieve their goals."
– Craig M. Fischer
ALL-STAR BIOGRAPHY
Craig is a member of the firm’s Corporate & Business and Securities Regulation & Corporate Compliance Practices. He has represented domestic and international clients in a range of industries on a variety of business transactions and general corporate issues, with a particular focus on representing issuers as well as underwriters in a range of securities offerings, including equity offerings, registered and non-registered high-yield and investment-grade debt offerings, exchange offers and tender offers. He also advises publicly traded companies on compliance with their obligations under the U.S. securities laws and stock exchange listing requirements in preparation of their Exchange Act reports and on corporate governance matters.
ALL-STAR BIOGRAPHY
Craig is a member of the firm’s Corporate & Business and Securities Regulation & Corporate Compliance Practices. He has represented domestic and international clients in a range of industries on a variety of business transactions and general corporate issues, with a particular focus on representing issuers as well as underwriters in a range of securities offerings, including equity offerings, registered and non-registered high-yield and investment-grade debt offerings, exchange offers and tender offers. He also advises publicly traded companies on compliance with their obligations under the U.S. securities laws and stock exchange listing requirements in preparation of their Exchange Act reports and on corporate governance matters.