Adam is a dual-qualified New York and English law adviser in connection with Rule 144A and SEC-registered offerings and private placements of international debt (primarily high yield) and equity (including IPOs, rights issues and block trades), as well as SEC reporting and other compliance matters, involving companies, investors, major financial institutions and trustees around the globe. He has also regularly advises issuers, dealer managers and creditors in cross-jurisdictional liability management and restructurings.
+44 207 919 1000
EducationUniversity of Mississippi, B.B.A. 1994Yale Law School, Juris Doctor, 1997
MembershipsElected Fellow of the American Bar Foundation.Elected as an executive officer of the American Bar Association Section of International Law and serves as a member of its Council.Previously chaired ABA International's International Securities & Capital Markets Committee.
QualificationNew York (1998)England and Wales (2013)