Bob serves as co-chair of the firm’s corporate finance and securities group. His practice is concentrated in the areas of capital raising, mergers and other acquisition transactions as well as securities regulatory, corporate governance and general business counseling. He has primary responsibility for coordinating legal services for many of the firm’s largest public clients. Within the scope of serving these clients, Bob has been involved in a wide range of corporate transactions including publicly underwritten stock and debt offerings, private placements of stock and debt, mergers, asset acquisitions, recapitalizations, stock redemptions and takeover defense work. He also has extensive experience in counseling these public companies on federal securities law compliance and corporate governance matters, including issues under the Sarbanes-Oxley Act of 2002, and related regulations.
Bob has substantial experience in representing public corporations in a variety of industries in all aspects of corporate governance and securities law compliance. He has represented these clients in public and private offerings of debt and equity securities, and in acquisition and sale transactions, including mergers, stock purchases and asset acquisitions.