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Provided by Robyn Zolman
Robyn Zolman practices in Gibson Dunn’s Capital Markets and Securities Regulation and Corporate Governance Practice Groups. She represents clients in connection with a broad range of capital markets transactions. She advises clients with respect to SEC registered and Rule 144A offerings of investment grade, high-yield and convertible notes, as well as initial public offerings, follow-on equity offerings, at-the-market equity offering programs, PIPE offerings and issuances of preferred securities. In addition, Robyn has extensive experience with tender offers, exchange offers, consent solicitations and corporate restructurings. She also regularly advises clients regarding securities regulation and disclosure issues and corporate governance matters, including Securities and Exchange Commission reporting requirements, stock exchange listing standards, director independence, board practices and operations, and insider trading compliance. Robyn provides disclosure counsel to clients across a number of industries, with a particular focus on the energy industry.
JD, Harvard University, cum laude, 2002; BA, University of Colorado - Boulder, summa cum laude, 1999.
Provided by Chambers
Provided by Chambers