Telephone: (314) 725-3200 x115

Donald Mehan, Jr. is an AV rated attorney who graduated from St. Louis University
School of Law in 1980. Mr. Mehan has been with Moline & Mehan, LLC and its
predecessor law firm since that time. His practice has principally focused on the
areas of transactional securities law, securities regulatory matters, claimant and
respondent securities arbitration, commercial transactions, and general corporate

Mr. Mehan has fulfilled the mediation training requirement set out in Missouri
Supreme Court Rule 17 at the University of Missouri School of Law, Center for the
Study of Dispute Resolution.

Mr. Mehan’s practice includes more than 38 years of both the prosecution as well as
the defense of customer securities complaints and other inter-brokerage disputes in
arbitration for individual investors, registered representatives, local brokerage firms,
and the local branches of national firms.

Mr. Mehan’s practice entails representation of broker/dealers, investment advisors
and their registered representatives in connection with registration and licensing
issues before the Securities and Exchange Commission (SEC), Financial Industry
Regulatory Authority (FINRA), the Missouri Division of Securities, the Missouri
Department of Insurance, and the Missouri Department of Financial Institutions, as
well as compliance and other issues faced in the day-to-day operations of brokerage
firms and investment advisors.

Mr. Mehan’s experience also includes complex commercial matters, mergers and
acquisitions, and purchases and sales of assets and securities ranging from
relatively small dollar size to multi-million dollar transactions. With considerable
success in representing small to medium sized businesses, he has counseled clients
in corporate and other issues encountered daily and in the long term.  

Mr. Mehan has provided legal advice in connection with private and public offerings
of securities, including structuring the securities for offering, drafting appropriate
prospectus and offering memoranda and securing compliance with federal and state
registration and/or exemption requirements. His practice has also included
compliance with the current reporting requirements as required under the Securities
Exchange Act of 1934. His work relating to public company disclosure and reporting
requirements has included not only the original disclosure requirements for a
company’s offering of its securities, but also annual and quarterly required reports,
as well as Form 8-K reporting requirements on a more current, on-going basis. This
area of practice has expanded to advising directors and officers of companies as to
compliance with corporate governance rules and codes of business conduct and

Mr. Mehan has also worked on behalf of the Securities Investor Protection
Corporation (SIPC) as court-appointed attorney for the trustee in SIPC liquidation
proceedings of brokerage firms.

Attorneys at Law

112 S. Hanley Road, Suite 200 | St. Louis, Missouri 63105 | Telephone: (314) 725-3200
Attorneys at Law
Office Location:

112 S. Hanley Road, Suite 200
St. Louis, Missouri 63105
Telephone: (314) 725-3200
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112 S. Hanley Road, Suite 200 | St. Louis, Missouri 63105 | Telephone: (314) 725-3200
  • Investment and Securities
  • Mediation - Dispute Resolution Services
  • Corporate Formation
  • Mergers and Acquisitions
  • Securities - Private Placements
  • Securities - Public Offerings
  • General Corporate Matters
  • Real Estate Transactional Services
  • Estate Planning and Probate
  • Represent Individual Investors
  • Represent Securities Industry Professionals
  • CRD Expungements
  • Broker Transitions
  • Broker Negligence
  • Secured and Unsecured Financings