United States
Represented issuers and investment banks in connection with a wide variety of public and private financings, including high-yield and investment grade debt financings, initial public offerings (IPOs) and secondary offerings. Worked on liability management transactions, including out-of-court and in-court restructurings, tender offers, exchange offers and consent solicitations, and numerous special purposes acquisition company (SPAC) IPOs and business combinations. Advised corporate clients with respect to corporate governance matters and securities law compliance, including current and periodic reports under the Securities Exchange Act of 1934 (e.g., 10-Ks, 10-Qs and 8-Ks) and stock exchange listing requirements.
Corporate associate. Worked with the Capital Markets & Securities, Mergers & Acquisitions, Financing and Private Equity practice groups.