About Richard Surber
I am a solo practicioner that associates with other attorneys, and CPA's in rendering legal and other services to publicly traded companies. I focus on assisting non-reporting trading companies in becoming fully reporting with the Securities and Exchange Commission. I am licensed in the state of California and have been licensed to practice law since 1999. Form 10 registration statements, S-1, S-8, private placement documents, continuing reporting requirements under the Securities Exchange Act of 1934 (Form 10K's, 10Q's, 8K's, Forms 3,4,and 5, Schedule 13D's, Schedule 14C and 14A, Rule 144 opinions and other securities related issues are my predominate area of expertise.) General business consulting, capital formation and investor relations issues under 17B are also areas that I can be of assistance.