David’s principal areas of practice are banking, mergers and acquisitions, securities, regulated lending, and general corporate. He has extensive experience in the following:
- Organization and regulation of banks
- Bank holding companies
- Trust companies
- Regulated lender
He regularly assists banking organizations with merger and acquisition matters, including the purchase and sale of entire banks, thrift institutions, or branches. David also represents financial institutions in both public securities offerings and private placements, as well as provides ongoing counsel regarding reporting obligations under the Securities and Exchange Act of 1934. As a part of his practice, David has significant experience in the regulation of both depository and non-depository financial institutions and routinely interacts with both federal and state banking regulators, including the Board of Governors of the Federal Reserve System and the various Reserve Banks, the FDIC, and the Office of the Comptroller of the Currency. He also assists his clients with general corporate matters.