Practice Areas - Securities/Capital Markets
- Public Company Acquisitions and Dispositions
- Corporate Governance
| - Regulatory Compliance
- Mergers and Acquisitions
- Corporate Strategic M&A
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| Contact Info | Telephone: 214-651-5210 Fax: 214-200-0391 http://www.haynesboone.com/michael_dill/
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| University | John Brown University, B.S., cum laude, 2005 |
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| Law School | University of Kansas School of Law, J.D., 2009 |
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| Admitted | 2009, Texas |
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| ISLN | 920923854 |
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| Transactions | He has represented clients in various corporate matters including: Underwritten equity and debt offerings for publicly and privately held companies; Rule 144A debt placements and exchange offers; Reporting obligations under the Securities Exchange Act of 1934; Asset dispositions for publicly reporting companies; Compliance with corporate governance regulations; Public and private securities offerings and other securities transactions; Preparation of securities and related filings with the SEC, FINRA, and state securities offices including Schedule 13G, Schedule 13D, Form 13F, Forms 3, 4 and 5, Form ADV and Form D; Formation, offering, and operations of hedge funds, private equity funds, real estate funds, energy funds, and funds of funds, including domestic and offshore entities. Selected Client Representations: Represented privately held telecom services provider with $225 million Rule 144A notes offering; Represented NYSE listed financial services company with $98 million convertible notes offering; Represented NYSE listed oil and gas company with $85 million registered direct offering; Represented various selling stockholders pursuant to public offerings; Represented NYSE listed oil and gas company with securities filings related to various asset acquisitions; Assisted NYSE listed company with various asset dispositions. |
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