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Overview

Eryn Gordon focuses her practice on capital markets and securities law, advising clients on public and private capital-raising transactions, securities market regulation, public company disclosure and general corporate matters. She regularly represents U.S. and international companies, financial institutions and investors in a wide range of domestic and cross-border capital markets transactions, including initial public offerings, follow-on and secondary public offerings, private investments in public equity (PIPEs) and other private placements, SPAC and de-SPAC transactions, investment-grade, high-yield and convertible debt financings, tender and exchange offers and at-the-market programs. Clients also seek Eryn’s counsel on SEC reporting obligations, corporate governance and broader regulatory compliance matters relating to the Securities Act of 1933 and the Securities Exchange Act of 1934.

Eryn has represented corporate clients ranging from emerging growth companies to multi-national Fortune 500 corporations across a diverse spectrum of industries, including financial services, retail and consumer brands, real estate, biotechnology, and pharmaceuticals, among others.

Education

  • Harvard Law School, J.D.
  • Johns Hopkins University, B.A., with honors

Bar Admissions

  • New York