Franklin Ogele, P.A.

Attorney At Law

OUR PRACTICE AREAS

Going Public

We can take your company public or assist you in raising money through private placements. For public offerings, we advise you on various options, including S-1, Regulation A+ and Form 10

Reits Formation

We consult with you on various options: Public versus Private REITS and with the filing of registration statements using Form S-11 or Regulation A+. or via Form 10 merger and/or acquisition.

Broker-Dealer Formation

We guide you through the entire broker-dealer formation process, including registration with the United States Securities and Exchange Commission and FINRA

Investment Advisor Formation

We guide you through the entire broker-dealer formation process, including registration with the United States Securities and Exchange Commission and FINRA

WELCOME TO OGELELAW

We are a Law Practice devoted to providing seamless low cost capital markets solutions to the clients. We can take your company public or assist you in raising money through private placements.

For public offerings, we advise you on various ways to go public including, S-1, Regulation A+ and Form 10 registration avenues and provide you with low cost preparation and filing of offering documents with the SEC, FINRA and State Administrators.

If you are  foreign company seeking to access US capital markets through debt or share offering, we can also advise you on various avenues, including preparation and filing Form F-1 Registration Statements or through Reverse Mergers vehicles and guide you through the entire IPO and listing process.

In addition, we are in the cryptocurrency space. We provide advice on raising money for Cryptocurrency and Blockchain Trading and Exchange Platforms. We also advise on REITS to enable real estate entrepreneurs establish publicly traded REITS for mortgages and real estate. 

Above all, we introduce you to the securities brokerage community through relationships our Principal developed during more than his 30 years of working on Wall Street.

We represent industry professionals seeking to form broker-dealers, hedge funds, investments advisers and provide on-going compliance services. The unique advantage we bring to the service of our clients is hands on experience. Our principal worked for FINRA and has held various legal and compliance positions in the securities industry.

Finally, we act as defense counsel in SEC, FINRA and CFTC litigation.

Scroll to Top