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Andrew B. Sachs: Lawyer with Kilpatrick Townsend & Stockton LLP

Andrew B. Sachs

LinkedIn
Associate
Winston-Salem,  NC  U.S.A.
Phone+1 336.607.7385

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Experience & Credentials
 

Practice Areas

  • Investment Management
  • Mergers & Acquisitions
  • Securities
  • Business & Finance
 
University University of Pennsylvania, B.A., Political Science, 1998
 
Law SchoolWake Forest University School of Law, J.D., magna cum laude, 2008 Order of the Coif
 
Admitted2008, North Carolina
 
Biography

Andrew Sachs focuses his practice on investment management, private equity, securities, mergers and acquisitions, and general corporate matters.

In his investment management practice, Mr. Sachs has assisted numerous clients with private investment company formation, including domestic and offshore hedge funds, real estate funds and asset securitization vehicles, and preparing SEC filings and various offering documents. Mr. Sachs has also assisted in mergers and acquisitions and private equity deals on both the buy-side and sell-side. He also has experience in the representation of public companies in private debt offerings and assisting clients with the purchasing and financing of aircraft.

Professional & Community Activities

Wake Forest Law Review, Managing Editor (2007-2008)

Mental Health Association of Forsyth County, Board Member

Reap More Than You Sow Community Garden Project, Board Member

Piedmont Craftsman, Board Member

Experience

Mutual fund and investment management disputes for large financial institution, Represented multi-billion dollar mutual fund family for a Fortune 500 financial institution in action alleging inappropriate investments in securities lending arrangement with mutual fund's custodian and lending agent.

Multifaceted transaction for Interface Inc., Represented Interface Inc., a worldwide leader in the design, production and sales of modular carpet, in its approximately $300 million public debt refinancing transaction. The multifaceted transaction included a tender offer for two series of outstanding public notes, in tandem with a Rule 144A offering of new notes on more favorable terms, and a subsequent registered exchange offer for the new notes to permit their free tradability.

Rule 144A initial offering, and subsequent registered exchange offering, of senior notes for Interface, Inc., Represented Interface, Inc., a public manufacturing company, in its Rule 144A initial offering, and subsequent registered exchange offering of $175 million of 10.375% senior notes due in 2010.

*Experience gained by attorney prior to joining Kilpatrick Townsend

Publications

17 January 2012, New Department of Labor Regulations Offer More Investment Advisers the Opportunity to Provide Advice to Participants in 401(K) Plans and IRAs, Legal Alerts

20 September 2011, Deadline for Meeting the New Investment Adviser Regulatory Requirements Under the Dodd-Frank Act is Quickly Approaching, Legal Alerts

09 November 2010, SEC Adopts New Form ADV, Part 2, Legal Alerts

30 September 2010, SEC Proposes New Approach to Mutual Fund Asset-Based Distribution Fees, Legal Alerts

19 January 2010, The SEC Amends Custody Rule for Registered Investment Advisers, Legal Alerts

11 September 2009, Investment Companies May Provide Summary Prospectuses to 401(k) and Other ERISA Plans Offering Their Funds, Legal Alerts

05 March 2009, SEC Adopts Revisions to Form D and Mandates Electronic Filing, Legal Alerts

01 July 2008, Empirical Study, Piercing the Mist: Bringing the Thompson Study into the 1990s
Source: Wake Forest Law Review, Articles

 
ISLN919972900
 

Documents by this lawyer on Martindale.com

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New Department of Labor Regulations Offer More Investment Advisers the Opportunity to Provide Advice to Participants in 401(K) Plans and IRAs
Matthew S. Chambers,Paul Joseph Foley,Chen Fan Fu,Andrew B. Sachs,Jeffrey T. Skinner,Thomas W. Steed, January 10, 2012
On December 27, 2011, new DOL regulations (the New Regulations) designed to encourage more financial advisers to offer investment advice to participants in participant-directed individual account plans (e.g., 401(k) plans) and individual retirement account (IRA) beneficiaries took effect. The New...

Deadline for Meeting the New Investment Adviser Regulatory Requirements Under the Dodd-Frank Act is Quickly Approaching
Matthew S. Chambers,Paul Joseph Foley,Chen Fan Fu,Andrew B. Sachs,Jeffrey T. Skinner,Thomas W. Steed, September 27, 2011
On July 21, 2010, President Obama signed into law the Dodd-Frank Wall Street Reform and Consumer Protection Act (the Dodd-Frank Act), which, among other things, significantly amended the regulatory requirements applicable to investment advisers under the Investment Advisers Act of 1940 (the...
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Office Information

Andrew B. Sachs
Kilpatrick Townsend & Stockton LLP
1001 West Fourth Street
Winston-Salem, NC 27101-2400




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