Mr. Boone has more than 15 years' experience as a leading capital markets, banking and finance lawyer with deep experience in corporate finance and acquisition and leveraged finance. He has advised corporates, banks, funds and asset managers in Australia, New Zealand and the larger Asia Pacific region on a wide range of complex financing transactions, including U.S. capital market offerings of equity and debt securities and applicable regulation. With particular experience in the debt markets, he has advised issuers on Rule 144A/Regulation S high yield bond offerings, investment grade U.S. private placements and related intercreditor agreements. Mr. Boone has advised lenders on syndicated and bilateral loan facilities, Term Loan B facilities and mezzanine financings. He also has extensive experience in liability management transactions and restructurings.
Mr. Boone has advised issuers on initial public offerings, secondary issues and Regulation D offerings of equity and hybrid securities. He has also advised asset managers on fund offerings and compliance with investment adviser regulation. Mr. Boone has provided commercial and tactical solutions to funds and family offices in connection with private capital raisings. He is highly regarded by his clients for his strategic advice and his proven ability to negotiate complex arrangements, manage large projects and deliver successful outcomes.