Brian D. Hirshberg is Counsel at Mayer Brown LLP (New York Office) and focuses on representing U.S. and foreign private issuer, sponsor and investment bank clients in registered and unregistered securities offerings, including initial public offerings, follow-on offerings, private placements (including Rule 144A and PIPE offerings), at-the-market offerings, registered direct offerings, liability management transactions, preferred stock and debt offerings and secondary offerings on behalf of issuers in a variety of industries, including specialty finance, real estate and real estate investment trusts, business development companies and life science; assists public company clients with ongoing securities law compliance requirements, listing standards of the major U.S. stock exchanges, SEC public reporting obligations, shareholder-related disputes and governance matters; authored articles relating to capital markets trends and topics for Practical Law Company, Practicing Law Institute, Bloomberg and LexisNexis; acknowledged in The Legal 500; Member, New York Bar.
J.D., George Washington University Law School
B.A., George Washington University
Bloomberg Tax Management Portfolios
SEC Reporting Issues for Foreign Private Issuers (Portfolio 5507)
This Portfolio discusses the securities laws applicable to foreign private issuers that access the U.S. capital markets and the integrated disclosure system. The most recent edition includes updates related to foreign private issuers, SEC amendments, and requirements for financial instruments that are guaranteed and for guarantor financial information.