Heith Rodman practices corporate transactional and securities law, with a primary focus on the financial services industry. He regularly advises banks and bank holding companies in mergers, acquisitions, joint ventures, and capital raising activities, as well as private equity funds investing in financial institutions. Heith provides regulatory advice to financial institution clients, including in regard to recent financial reform regulation, general commercial counseling for banks, and disclosure counseling for publicly traded clients. He is actively involved in advising boards of directors and their committees on director liability issues, and he has been involved with a number of special committee representations involving transactions, investigations, and litigation.Prior to his current focus on the financial services industry, Heith represented clients in a variety of industries, and he has extensive experience with public and private acquisitions and divestitures in transactions with values ranging from $10 million to $4.4 billion. In the capital markets arena, Heith has represented issuers and underwriters in public offerings and private placements.