John Watson focuses his practice on securities offerings, corporate finance, ongoing securities law compliance, and general corporate matters. John is experienced in advising issuers, broker-dealers, investment advisers, and other regulated entities with respect to compliance issues. 

John Watson focuses his practice on securities offerings, corporate finance, ongoing securities law compliance, and general corporate matters.

John is experienced in advising issuers, broker-dealers, investment advisers, and other regulated entities with respect to compliance issues. He has also represented multiple financial services companies and professionals in various disputes before the Financial Industry Regulatory Authority (FINRA), the United States Securities and Exchange Commission, and other bodies.

John earned his Juris Doctor degree, with honors, from George Washington University School of Law and his Bachelor of Arts degree in economics from the University of Virginia.