US corporate finance
An international clientele of market-leading corporates and investment banks regularly instructs our team of US-qualified corporate finance lawyers on a wide range of US securities matters. Based in the United Kingdom, Hong Kong and Canada, the team allows us to offer you an extra dimension of capital markets and international securities expertise.
We have an established track record in a wide range of corporate finance transactions such as SEC-registered public offerings, Rule 144A/Regulation S offerings, investment grade and high yield debt offerings and liability management transactions. We also advise on regulatory compliance matters and ongoing SEC reporting requirements.
Our US corporate finance group regularly advises on the US law aspects of cross-border corporate finance transactions emanating from Europe, Asia, Africa, the Middle East and the Americas. These include IPOs, bond offerings, tender and exchange offers, rights offerings, secondary and follow-on offerings, private placements, mergers, acquisitions and trade sales, the establishment of depositary receipt programmes, joint ventures, private equity finance and venture capital transactions.
We offer you:
- multi-jurisdictional scope and experience
- extensive deal experience in all types of corporate finance transactions
- expert advice on US securities law matters