
Education
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University of Connecticut, J.D., 1981
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George Washington University, B.A., 1978
Bar Admissions
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District of Columbia
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Virginia
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Norman Antin has an extensive transactional business practice in which he advises clients on public and private financings and securities issuances, mergers and acquisition transactions, and sophisticated bank regulatory issues before federal and state regulatory agencies. He also provides guidance to clients on general corporate matters, executive compensation and employee benefits and corporate governance matters.
Mr. Antin counsels companies operating throughout the United States, with a particular emphasis on financial services companies, including banks, savings institutions, mortgage and specialty financial companies, as well as private equity and hedge funds, investment banking firms and financial advisors and consultants. Among the transactions Mr. Antin specializes in are initial and secondary public offerings and private placements of debt and equity securities, including offerings of common stock, preferred stock, debt securities, convertible debt and equity securities, warrants and hybrid instruments.
Mr. Antin facilitates mergers, acquisitions, asset sales and acquisitions, leveraged and management buyouts and other corporate reorganizations. He also provides general counseling and assistance on anti-takeover and tender offer defenses, regulatory and compliance matters and tax and business planning.
In the post-recessionary environment, Mr. Antin has successfully structured a number of innovative transactions, consistent with bank regulatory policy statements and regulations, which have permitted investors, including non-strategic investors such as private equity funds, to invest in failed banking institutions taken into receivership by the FDIC. Mr. Antin has also assisted strategic investors in a variety of acquisition transactions and has helped financial institutions raise capital from various sources pursuant to a number of different structures.
Mr. Antin speaks frequently on corporate and securities issues, and has contributed to various publications devoted to bank regulatory, corporate governance and securities matters.
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