Andrew is a Shareholder in Maynard Cooper’s Corporate, Securities & Tax Section and a member of the firm’s Securities Regulation and Corporate Finance, Mergers and Acquisitions, and Banking practice groups.
He focuses his practice in the areas of corporate and securities law and has significant experience in these areas. Andrew represents both private and publicly held companies in mergers and acquisitions, as well as advising businesses in connection with a broad range of general corporate matters, including corporate structure, formation and reorganization. Additionally, he represents public companies in public securities offerings and counsels public companies regarding their public reporting obligations and corporate governance matters. He regularly assists publicly held clients with insider ownership reporting, as well as annual, quarterly and current reports filed with the Securities and Exchange Commission. Andrew also represents clients in private securities offerings and advises financial services institutions, including banks and bank holding companies, regarding various corporate and securities law issues.
In addition, Andrew has experience representing sports and entertainment clients in a wide variety of transactions, including licensing arrangements and endorsement deals.