John concentrates his practice in U.S. securities regulation and compliance, mergers and acquisitions, and corporate law and governance. He is active in the firm's U.S.-Canada Practice and regularly counsels Canadians on U.S. securities, investment management, and corporate law matters. He has extensive experience in public and private securities offerings, venture capital and private equity transactions, and executive compensation arrangements. He also has extensive experience in shareholder disputes and related litigation, including appraisal and NYBCL 1104 and 1104-a dissolution proceedings.
John is a co-author of the Practical Law Company module on New York business corporation law.
John exclusively practices U.S. law and is admitted to practice in New York.
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