Siddhartha Sivaramakrishnan focuses his practice on the representation of investment bank underwriters, issuers and vendors in a wide range of US and international equity and debt capital markets transactions. These include numerous primary and secondary offerings under Rule 144A and Regulation S, US private placements and SEC-registered offerings. Siddhartha also advises on M&A and structured financings, offerings of equity-linked instruments and investment grade, high yield and sovereign debt offerings. Siddhartha’s practice focuses on the Asia Pacific and EMEA markets.
Siddhartha counsels on financial institution regulatory and compliance matters, including cross border licensing and reporting requirements; senior managers’ responsibilities and conduct; insider dealing and market abuse; and the impact of US and European regulatory change on financial market participants.
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