Mark counsels clients on access to the U.S. public markets, including advising on registered and 144A/Reg S debt and equity offerings, IPOs, private placement transactions and general securities law matters. He also provides counsel to underwriters and issuers on various offerings.
He also represents clients on public and private acquisitions, mergers and divestitures, private equity transactions, strategic investments, joint venture disputes, long-term commercial arrangements and general corporate matters, as well as advising financial institutions in negotiating credit facilities with investment grade and non-investment grade borrowers.
Anika's practice focuses on corporate and securities law, including general corporate representation, domestic and cross-border mergers and acquisitions transactions on both the buy side and sell side, and public offerings.
Prior to joining Orrick, Anika was a management consultant at PricewaterhouseCoopers LLP.
As a Climate Advisor at Orrick, Avani is a key member of our Environmental, Social and Governance (ESG) Group. She provides non-legal advice to clients on their climate-related governance, strategy, risk management, and relevant targets and metrics, as well as the identification of relevant ESG issues for a range of companies, the collection and analysis of key climate- and ESG- performance metrics, the preparation of climate- and ESG-related disclosures, and research and writing on emerging climate and ESG trends. She also advises and assists clients in conducting greenhouse gas emissions (GHG) inventories, including identifying emissions boundaries and material categories of Scope 3 GHG emissions.
Prior to joining Orrick, Avani worked as a Corporate Sustainability and Climate Change (CS&CC) Manager at ERM (2021-2023) and as an Air Quality/Sustainability Senior Consultant at Ramboll U.S. Corporation (2012-2021). At both these consulting firms she worked on a variety of air quality and GHG compliance, permitting, and reporting projects, along with ESG due diligence using International Finance Corporation (IFC) Performance Standards and Equator Principles. Avani has developed GHG inventories and evaluation of GHG mitigation strategies for a variety of sectors, including city/county municipalities, corporations, airports and seaports, logistical warehouses, and oil and gas facilities.
She has managed and developed Climate Change and Sustainability Reports and Plans, Energy Conservation Plans, and Corporate Social Responsibility Reports, using reporting frameworks such as GHG Protocol, Task Force on Climate-Related Financial Disclosures (TCFD), CDP, and Global Reporting Initiative (GRI). Avani has robust expertise with GHG analysis and reporting, strategy development, policy and regulatory review, and peer benchmarking, for projects located both within the United States and internationally.
Avani has a master’s degree in Environmental Engineering from Illinois Institute of Technology, Chicago (2011) and a bachelor’s degree in Mechanical Engineering from Vishwakarma Institute of Technology, India (2007).
She has acted for listed companies, investment banks, and public and private emerging high-growth companies across a range of sectors including energy and natural resources, engineering, technology, healthcare and life sciences and consumer goods.
Abby regularly advises on IPOs, secondary fundraisings, public takeovers, acquisitions and disposals for public and private companies, group restructurings, investments and corporate governance.
Yael has extensive experience with advising founders, investors and boards of tech and life sciences companies at all stages and advises on cutting edge deals and complex transactions, with a focus on venture capital financings, debt financings, mergers and acquisitions and corporate governance. She practices across a variety of industries, including software and technology, energy, gaming, healthcare and life sciences. Yael’s practice also includes advising venture capital firms and strategic corporate investors in their investments into technology and life sciences companies.
Yael’s broad-based domestic and international experience also includes advising Israeli venture capital funds, high-tech firms and startups while practicing at some of the top-rated firms in Tel Aviv.
Scott was an associate at the firm from 1998 until 2006 and has experience in mergers and acquisitions, corporate finance, securities law and general corporate matters.
Prior to joining Orrick, he was an associate at Pillsbury Madison & Sutro LLP from 1997 to 1998.
He regularly advises on bank regulations (including, but not limited to, the Bank Holding Company Act and Regulation Y; the Federal Reserve Act; OCC regulations; Regulations U, X, and T; Regulation W; Regulation K; New York Banking Law; and U.S. regulation of foreign banks); CFTC and derivatives regulatory matters (including uncleared swap margin and capital rules, commodity pool operator and commodity trading advisor requirements, product and registrant definitions, the application of CFTC requirements to digital assets, the cross-border framework, swap data reporting, business conduct rules, mandatory clearing and related exceptions, and various key issues for derivatives end users); broker-dealer regulation; regulation of fintech companies, including digital asset clients, robo-advisers, and nonbank lenders; the Investment Advisers Act; the Investment Company Act; and the securities laws generally.
He also regularly negotiates equity and other types of derivatives transactions and related derivatives documentation on both the sell and the buy sides. In addition, he represents issuers and underwriters in commercial mortgage, auto loan, credit card, and other types of securitizations. He also has a broad background in mergers and acquisitions, capital markets, venture capital, corporate governance, and general corporate matters.
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