Shelly Heyduk

Partner

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Shelly Heyduk’s practice focuses on advising public companies on a wide range of securities law and corporate governance matters, including SEC reporting and disclosure under the Securities Exchange Act of 1934, shareholder meetings and compliance with the proxy rules, and compliance with NYSE and NASDAQ corporate governance requirements, the Sarbanes-Oxley Act of 2002, and related regulations. Shelly also has significant experience advising companies with respect to securities offerings under the Securities Act of 1933. 

During her career, Shelly spent four years in-house at Western Digital Corporation, where she gained a unique understanding of the challenges facing in-house legal teams and their expectations for best-in-class service from outside counsel. 

Honors & Awards

  • Recognized as a "Notable Practitioner" by IFLR1000 in Capital Markets (2019 & 2020)

Admissions

Bar Admissions

  • California

Education

  • University of California at Los Angeles, J.D., 1999: Order of the Coif; Comments Editor, UCLA Law Review 
  • University of California at San Diego, B.S., 1996, Management Science: magna cum laude; with distinction; Phi Beta Kappa

Professional Activities

Member

  • Orange County Bar Association
  • National Association of Real Estate Investment Trusts 

Speaking Engagements

  • Panelist, “Q&A with the SEC and PCAOB,” 18th Annual SEC “Hot Topics" Conference (September 2019)
  • “Corporate Governance - A New Era” Panel at the Los Angeles County Bar Association's 51st Annual Securities Regulation Seminar (October 2018)
  • “Regulation and Corporate Governance” Panel at the 16th Annual SEC “Hot Topics” Conference, a Legal and Financial Reporting Update for Public Companies (September 2017)
  • “Non-GAAP Measures & Recent Developments” Panel at the third annual UCI Audit Committee Summit (October 2016) 
  • “Regulatory and Governance” Panel at the 15th Annual SEC “Hot Topics” Conference, a Legal and Financial Reporting Update for Public Companies (September 2016)
  • Represents a broad range of public company clients with their ongoing Exchange Act reporting and compliance across a variety of industries such as aerospace products and services, airlines, banking, data storage, Internet media and advertising, management services, medical devices, semiconductors and real estate investment trusts. 
  • Provides regular specialized securities law advice to companies on a wide range of matters, including Section 16, Regulation 13D-G, Rule 144, Regulation G, Regulation FD, and Rule 10b-5. 
  • Counsels companies on shareholder meeting matters, including compliance with the proxy rules, responding to shareholder proposals and submission of no-action letters under Rule 14a-8, and responding to proxy contests for board control. 
  • Advises public and pre-public companies on corporate governance best practices. 
  • Represents issuers in connection with equity and debt offerings under the Securities Act.
  • Provides advice to companies on securities law aspects of merger and acquisition transactions, including cash and stock mergers, tender offer transactions, and going private transactions.

Alerts and Publications

SEC Expands “Test-the-Waters” Communications Accommodation to All Issuers

October 3, 2019

SEC Proposes Changes to Modernize Certain Disclosures Under Regulation S-K

August 21, 2019

Lawsuit Challenges Constitutionality of California Law Mandating Women on Public Company Boards

August 14, 2019

SEC Proposes Amendments to Accelerated Filer and Large Accelerated Filer Definitions

May 22, 2019

SEC Proposes Amendments Related to Financial Disclosures for Acquisitions and Dispositions

May 13, 2019

SEC Adopts Amendments Related to FAST Act Modernization and the Simplification of Regulation S-K

March 27, 2019

SEC Requests Comment on the Nature, Content, and Timing of Earnings Releases and Quarterly Reports

December 21, 2018

California Mandates Board Gender Quota at Public Companies Headquartered in California

October 1, 2018

SEC Adopts Amendments to Simplify and Update Disclosure Requirements

August 29, 2018

SEC Significantly Expands Smaller Reporting Company Eligibility for Scaled Disclosures and Modifies Threshold for Certain Acquisition Financial Statements

July 2, 2018

SEC Adopts Inline XBRL Requirements for Financial Data

July 2, 2018

SEC Charges Against Former Equifax Executive Reinforce Recent SEC Warning Related to Insider Trading Before Disclosure of Cyber Breach

March 21, 2018

SEC Supplements 2011 Cybersecurity Disclosure Guidance

February 28, 2018

In the News

Press Releases