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Rory Hood practices in the areas of capital markets and general corporate law and represents investment banks and issuers in connection with public and private securities offerings, SEC reporting requirements, and corporate governance matters. He has significant experience advising investment banks (as underwriters, initial purchasers, dealer managers, and placement agents) in a broad range of transactions, including initial public offerings and other equity offerings; investment-grade, convertible, and high yield debt offerings; and exchange offers, tender offers, and consent solicitations. He also regularly advises domestic and international issuers on SEC reporting requirements, corporate governance matters, and stock exchange rules and regulations.Rory has worked with many different types of issuers, including multinational corporations, middle market companies, and portfolio companies of private equity firms, and on transactions across many different industries, including advertising, clean technology, consumer products, energy, financial institutions, industrial, manufacturing, technology, and transportation. Representative clients in recent matters include Citigroup, Morgan Stanley, Omnicom Group, OUTFRONT Media, and Starwood Hotels.