Financial Services Regulation: Financial Institutions M&A
Up and Coming
Practice Areas: Advises on mergers and acquisitions, joint ventures, securities offerings and similar transactions. Also advises on regulatory, takeover defense and corporate control, general corporate, strategic and corporate governance matters. Represents both U.S. and non-U.S. public and private financial institutions, including banks, insurance companies, private equity and hedge funds, investment advisers and broker-dealers. Advises on regulatory matters with federal and state bank regulatory agencies, the SEC, the FINRA and other governmental agencies on behalf of a number of U.S. and international financial institutions.
Professional Memberships: ABA; ABCNY.
Personal: Boston University Law School (JD, 2002); George Mason University (BA, 1997).