Represents issuers and underwriters in public and private corporate finance transactions, in both U.S. and international markets. Experience encompasses IPOs, follow-on offerings, investment grade, high-yield and convertible debt offerings and offerings of preferred, hybrid and derivative securities. Regularly advises companies and investment banks on corporate and securities law issues, including M&A financing and other capital planning, liability management, spin-offs, disclosure and reporting under U.S. securities laws, governance issues and stock exchange listings. Clients span emerging growth to multinationals; industries include tech, banking, industrials, consumer retail and hospitality.
JD, Columbia Law School (2000); BA, University of Michigan (1989).