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375672

Practice:

  • M&A and Private Equity
  • Corporate
  • China

Joe Scheu Associate M&A and Private Equity, Corporate

Hong Kong

Joe Scheu, an associate in Orrick’s Hong Kong office, is a member of the M&A and Private Equity Group.

Joe advises corporations, private equity firms and financial institutions on a broad range of corporate transactions, including cross-border mergers and acquisitions, private equity and venture capital investments, joint ventures and privatizations.

He also has experience advising on debt capital markets, structured finance and general corporate and commercial matters.

Prior to joining Orrick, Joe worked at another international law firm in Hong Kong and also spent six months on secondment to the Equity Derivatives Group (Legal) at J.P. Morgan in Hong Kong.

186_740x360

Practice:

  • M&A and Private Equity
  • Technology Companies Group
  • Japan
  • Taiwan

Richard Smith Partner M&A and Private Equity, Technology Companies Group

Silicon Valley; San Francisco

Richard Vernon Smith, a partner in our Silicon Valley and San Francisco offices and a member of our Global Mergers & Acquisitions and Private Equity Group, has over 35 years of experience in the areas of mergers and acquisitions, securities law and corporate law.

Richard has advised on more than 500 M&A transactions and has represented clients in all aspects of mergers and acquisitions transactions involving public and private companies, including negotiated mergers, auction bid processes, cross-border transactions, distressed asset sales (including 363 sales), leveraged buyouts, tender offers and exchange offers, going private transactions, mergers of equals transactions, going dark transactions, hostile takeovers, proxy contests, takeover and activist defense, purchases and sales of divisions and subsidiaries and joint ventures.

Richard also has represented clients in a wide range of SEC-registered, underwritten and privately placed stock and debt offerings, and he has assisted companies in connection with issuer tender offers (both equity and debt), recapitalizations, restructurings and rights offerings. He regularly represents clients in the preparation and filing of periodic SEC reports, proxy statements and Williams Act reports. He also assists clients in compliance with the Dodd-Frank Act of 2010 and Sarbanes-Oxley Act of 2002; Section 16 of the Securities Exchange Act of 1934; real time disclosure compliance; sales of restricted securities and sales of securities by insiders; disclosure issues, including with respect to Rule 10b-5 and Regulation FD; and NYSE/NASDAQ rule compliance and inquiries.