Comparative Analysis of Methods of Accessing the Equity Capital Markets: Chart

A comparative analysis of the options available to an issuer for accessing the equity capital markets.

For best results, this Chart should be printed using the "landscape" setting.

On October 26, 2016, the SEC adopted amendments to modernize the existing Rule 147 safe harbor under Section 3(a)(11) of the Securities Act (the intrastate offering exemption) and created a new intrastate exemption, Rule 147A. The SEC also adopted amendments to Rule 504 of Regulation D under the Securities Act and repealed Rule 505 of Regulation D. This resource will be updated as soon as possible to reflect these changes.

Practical Law Corporate & Securities


 

The full text of this resource is available by logging in or by requesting a trial. If you have any questions, please contact us or your Practical Law Account Executive.

Free trial

A free trial will give you:

Unlimited access to our online legal know-how services during the trial period
Full training and support
Four issues of Practical Law The Journal, the companion to Practical Law online
Weekly update e-mails on current legal developments in your practice area
 

Log in using Practical Law username

Only use this login if you have not set up OnePass for Practical Law

{ "siteName" : "PLC", "objType" : "PLC_Doc_C", "objID" : "1247300118365", "objName" : "ACT_OWNED - READ_ONLY - 4-500-7042", "userID" : "2", "objUrl" : "http://us.practicallaw.com/cs/Satellite/us/about/4-500-7042?null", "pageType" : "", "academicUserID" : "", "contentAccessed" : "false", "analyticsPermCookie" : "23ff2b36d:158d0bd11f1:-4622", "analyticsSessionCookie" : "23ff2b36d:158d0bd11f1:-4621", "statisticSensorPath" : "http://analytics.practicallaw.com/sensor/statistic" }