10.0
Superb
Client Ratings
Not yet reviewed
No professional misconduct found.
Overview
Practice Areas
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Contact Information
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References
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Résumé
Licenses
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28 years
since Steven Edward Bochner was first licensed to practice law in CA.
We have not found any instances of professional misconduct for this lawyer.
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Education
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Awards
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| Award Name |
Granting Organization |
Date |
| Listed |
Legal 500 (US) |
2007 |
| Listed |
Best Lawyers in America |
2007 |
| "Lawdragon 500 Leading Lawyers in America" |
Lawdragon |
2006 |
| Listed |
Best Lawyers in America |
2006 |
| "Northern California Super Lawyer" |
San Francisco Magazine |
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| "Northern California Super Lawyer" |
Law & Politics Magazine |
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| AV Peer Review Rating |
Martindale-Hubbell |
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| Named a leading Silicon Valley business lawyer |
San Jose Magazine |
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| nation's top initial public offering attorneys |
IPO Journal |
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See all 9 awards
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Associations
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| Position |
Association Name |
Duration |
| Member |
SEC Advisory Committee |
2005–2006
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| Chairman |
Advisory Board, Berkeley Center for Law, Business and the Economy, Boalt Hall School of Law |
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| Member |
Advisory Board, VentureOne |
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| Member |
Advisory Board, wallstreetlawyer.com |
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| Member |
Board of Editors, M&A Lawyer |
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| Director |
Joint Venture Silicon Valley Network |
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| Co-chair |
Nasdaq Listing and Hearing Review Council |
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| Member |
SEC Historical Society Advisory Council |
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See all 8 association entries
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Portfolio
Publications
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| Article |
Publication |
Date |
| Book, Co-author |
IPO Guide, Merrill Corporation, Sixth Edition |
2006 |
| "The Recent Evolution of Underwriter Lock-Up Agreements" |
Insights, Vol. 18, No. 7, Aspen Law & Business |
2004 |
| "The Earnings Release and Disclosure Reform" |
Insights, 17, No. 12, Aspen Law & Business |
2003 |
| "The Duty to Update and Disclosure Reform: The Impact of Regulation FD and Current Disclosure Initiatives" |
Stanford Journal of Law, Business and Finance |
2002 |
See all 4 publications
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Speaking Engagements
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| Speaking Engagement Name |
Conference |
Date |
| "The Future of Capital Formation in the U.S. — Have the SEC and the PCAOB Gone Far Enough?" |
The Rock Center for Corporate Governance at Stanford University and The New York Stock Exchange Group, Menlo Park, California |
2007 |
| "Trends in Capital Formation" |
34th Annual Securities Regulation Institute, Northwestern Law School, Coronado, California |
2007 |
| "Current Accounting and Auditing Issues" |
38th Annual Institute on Securities Regulation, Practicing Law Institute, New York, New York |
2006 |
| "MD&A Best Practices" |
SEC Reporting and FASB Update Forum, The SEC Institute, Orlando, Florida |
2006 |
| "The SEC Advisory Committee - Governance and Disclosure" |
33rd Annual Securities Regulation Institute, Northwestern Law School, San Diego, California |
2006 |
| "SEC Reporting: Best Practices and Selected Rules" |
SEC Reporting & FASB Update Forum, The SEC Institute, Las Vegas, Nevada |
2005 |
| "Drilling Down: Doing an IPO after the 33 Act Reform" |
TheCorporateCounsel.net, Webcast |
2005 |
See all 7 speaking engagements
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