John J. Spidi is a partner in the firm’s Banking & Financial Services Practice Group in the Washington, D.C. office. He concentrates in corporate, securities, and bank regulatory matters for financial institutions and their holding companies. Mr. Spidi's particular emphasis is in the area of securities offerings, annual securities reporting requirements, mergers and acquisitions, mutual-to-stock conversions, corporate governance requirements, and all aspects of corporate and bank regulatory matters involving financial institutions.
Mr. Spidi has served as issuer's or underwriter's counsel in numerous equity and debt offerings and mutual to stock conversion transactions. He was Senior Attorney in the Division of Corporation Finance at the United States Securities and Exchange Commission (SEC).