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Peter M. Rosenblum

LinkedIn
Partner
Boston,  MA  U.S.A.
Phone617 832 1151

Peer Rating
 5.0/5.0
AV® Preeminent

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Practice Areas

  • Business
  • Corporate Finance and Securities
  • Licensing & Strategic Alliances
  • International
  • Mergers and Acquisitions
 
University Amherst College, B.A., summa cum laude, 1970; Yale University, M.A., 1972
 
Law SchoolHarvard Law School, J.D., cum laude, 1974
 
Admitted1974, Massachusetts; U.S. District Court for the District of Massachusetts
 
Memberships Boston Bar Association (Chairman: Corporate Law Committee, 1995-1997; Business Law Section, 1997-1999) Massachusetts Bar Association; American Bar Association.

 
LanguagesSpanish
 
Biography

Peter Rosenblum counsels a broad range of clients in diverse industries concerning business and regulatory matters, financing strategies and structuring of corporate transactions. He is actively involved in the firm's corporate and corporate finance practices, with an emphasis on mergers and acquisitions, venture capital, private equity and other public and private offerings of securities.

Peter has broad experience structuring and executing mergers and acquisitions and other transactions for public and private clients. He regularly advises investors and issuers in connection with private placements of equity and debt for early and later stage private equity investments. Peter has structured numerous buyouts, recapitalizations, joint ventures and strategic alliances involving complex applications of debt and equity securities. He has particular expertise in developing transaction-specific offshore and cross-border structures and limited liability company and other pass-through vehicles and in counseling managements and corporate special committees involved in significant transactions.

His clients include venture capital and private equity funds, hedge funds and other private investment funds, both in the US and offshore, that invest in public and private securities, private equity transactions, international forestry assets and other alternative investments. He also provides comprehensive representation to companies in technology, energy, life sciences, investment management, consulting and other industries concerning corporate governance, financings, management compensation and succession and liquidity events. Peter represents numerous registered investment advisors and managers of private investment funds and hedge funds, both onshore and offshore. Peter also works with high technology, energy and life sciences clients on intellectual property strategies and protection, licensing and related matters.

Peter served as Chairman of the firm's Business Department from July 2008 through October 2011. He was a Co-Managing Partner of Foley Hoag from 2000 to 2005 and a Member of its Executive Committee from 1997 to 2005. Prior to entering the private practice of law, he served as Law Clerk to Chief Justice G. Joseph Tauro of the Massachusetts Supreme Judicial Court.

Peter has also lectured and taught classes at Harvard Business School and Boston University School of Law.

Professional / Civic Involvement

ˇ Boston Lawyers Group, Chairman

ˇ Boston Bar Association, Corporate Law Committee, Chairman (1995-1997)

ˇ Boston Bar Association, Business Law Section, Chairman (1997-1999)

ˇ Ceres, Inc., Director

ˇ Massachusetts Continuing Legal Education, Inc. (MCLE), Business and Commercial Law Curriculum Committee

ˇ American, Massachusetts and Boston Bar Associations, Member

Speeches and Conferences

ˇ "Q&A with Foley Hoag's Peter Rosenblum," featured, Private Equity Law 360, December 2011

ˇ "Preparing for Exits: Starting Early," ENET (2011)

ˇ "VCs and Angels: Optimizing Exits," Angel Capital Association (2011)

ˇ "Negotiating with the Big Dogs for Exits," a workshop, Angel Capital Association (2011)

ˇ "The Nuts and Bolts of Executing Successful Exits," webinar, Angel Capital Association, Angel Capital Education Foundation and Foley Hoag LLP (2011)

ˇ Dodd-Frank Act and Regulatory Changes: Landmark Changes for Fund Managers and Investment Advisers," webinar, Practising Law Institute (2011)

ˇ "Investment Funds," A Roundtable Discussion, Boston University School of Law/Chicago-Kent Law School (2010)

ˇ "Boston Boot Camp: New Registration Requirements," Alternative Investment Financial Executives Association (2010)

ˇ "Sidecar Funds: A Workshop," Angel Capital Association (2010)

ˇ Impact of Changes in the Economy on Venture Capital, Northeastern School of Law: Entrepreneurship Panel Series (2010)

ˇ "Dodd-Frank and the New Regulatory Regime for Advisers," ALI-ABA Audio Webcast and Telephone Seminar (2010)

ˇ Moderator, "Raising Capital in Troubled Times," Association of Corporate Counsel-New England (2010)

ˇ "A Look to the Future," Fundamentals of Investment Adviser Regulation 2010, Practising Law Institute (2010)

ˇ "Hedge Fund Regulation and Compliance: Investor Concerns - Side Pockets," Financial Research Associates, LLC (2010)

ˇ "Q&A with Foley Hoag's Peter Rosenblum," featured, Mergers & Acquisitions Law 360 (2009)

ˇ "Mutual Funds Under New Administration, Litigation & Regulation," A Roundtable Discussion, Boston University School of Law/Chicago-Kent Law School (2009)

ˇ "SEC Update," Association of Corporate Counsel Annual Meeting (2009)

ˇ "Fundamentals of Investment Adviser Regulation/Marketing," Practising Law Institute (2009)

ˇ "Everything You Wanted To Know About Sidecar Funds," webinar, Angel Capital Association (2009)

ˇ "Corporate Governance Considerations for Distressed Businesses" and "Pursuing Out-of-Court Restructurings," Foley Hoag LLP (2009)

ˇ Solar Project Structure and Finance, Solar in Boston/Solar in America (2009)

ˇ "Tricks and Traps of Corporate 'Intrapreneurship' and Entrepreneurial Investment: Getting the Most Out of a New Business," Association of Corporate Counsel Annual Meeting (2008)

ˇ "The ABCs of Investment Adviser Regulation/Marketing," Practising Law Institute (2006-2008)

ˇ "Understanding Capital Structures," Corporate Practice: MCLE Basics Plus! (f/k/a Corporate Basics), MCLE (1991-2011)

ˇ "Hedge Funds," Investment Management Products: Mutual Funds and Beyond, ALI-ABA (2007)

ˇ "Investment Adviser Regulation," ALI-ABA (2006-2007)

ˇ "Hedge Fund/Private Adviser Developments," Investment Management Regulation, ALI-ABA (2004-2006)

ˇ "Drafting a Successful Collaboration Agreement," Pharmaceutical Strategy Series, Alliance Management Congress (2004)

ˇ "Offshore Funds," Investment Management Regulation, ALI-ABA (1995-2003)

ˇ "International and Cross-Border Agreements," Negotiating and Drafting Major Business Agreements, Insight Information (2002-2005)

ˇ "Funding Biotech in the 21st Century: Public Offerings," Bio 2000 (2000)

ˇ "Management of Intellectual Property in Collaborations," Massachusetts Biotechnology Council (1998)

ˇ "Corporate Fiduciary Duties in Massachusetts and Delaware," How to Incorporate and Counsel a Business, MCLE (1984-1998)

ˇ "Joint Ventures and Strategic Alliances," The Directors Roundtable National Conference for Corporate Counsel: Boston (1997)

ˇ "Technology Transfer in Cross-Border Acquisitions and Divestitures," Licensing Executives Society (1996)

ˇ "Structures of Cross-Border Transactions," Bio '96 (1996)

ˇ "Joint Ventures and Strategic Alliances," Smart Card Forum (1996)

ˇ "Raising Debt and Equity in Difficult Times," Foley, Hoag & Eliot (1990)

ˇ "Creative Debt Financing Strategies for Corporate Managers," Foley, Hoag & Eliot (1989)

ˇ Chairman, "Leveraged Acquisitions: the Process; the Players; the Problems," MCLE (1987)

ˇ Chairman, "Acquisitions 1986: Asset Acquisitions and Corporate Partnering," MCLE (1986)

Publications

ˇ Editor, A Practical Guide to Massachusetts Limited Liability Companies (Boston 1996-2011)

ˇ Compensation for Angel Group Leadership, ACEF Newsletter (2009)

ˇ Attorney Recommendation: Writing and Negotiating Term Sheets with a View toward Success, ACEF Newsletter (2008); also published in Annual Editions: Entrepreneurship 10/11 (2009)

ˇ Offshore Investment Advisers and Overview of Institutional and Offshore Advisory Activity in C. Kirsch, Investment Adviser Regulation (New York 2006, 2008)

ˇ Organization of a Private Investment Fund: Basic Structural and Legal Issues in C. Kirsch, Financial Product Fundamentals (New York 2006, 2009)

ˇ Understanding Capital Structures, in L. Gennari, et al., Starting Up and Advising an Emerging Massachusetts Business (Boston 2001, 2004)

ˇ Fiduciary Duties of Directors, Officers and Stockholders of Massachusetts Corporations, in S. Keller et al., Massachusetts Business Lawyering (Boston 1991)

ˇ Creative Debt Financing in the Venture Capital Environment, in S.J. Lee, Venture Capital Manual (Boston 1990)

ˇ "Bodio v. Ellis and Zimmerman v. Bogoff," Broadening the Fiduciary Obligations of Shareholders of Close Corporations, 33B.B.J. 22 (1989)

Industries

Venture Capital & Emerging Companies

Energy Technology and Renewables

Energy and Regulated Industries

Life Sciences

Investment Advisers & Private Investment Funds

Honors/Awards

Scholar-Mentor Award, MCLE (2011)

THE BEST LAWYERS IN AMERICA (1999-2012)

Ranked by CHAMBERS USA: AMERICA'S LEADING LAWYERS FOR BUSINESS as one of Massachusetts' leading private equity: venture capital investment and corporate/M&A lawyers (2004-2011)

Ranked by CHAMBERS GLOBAL: THE WORLD'S LEADING LAWYERS FOR BUSINESS as one of the leading lawyers in the United States for private equity-buyouts and venture capital investment (2007-2008)

Listed in the GUIDE TO THE WORLD'S LEADING PRIVATE EQUITY LAWYERS and in the GUIDE TO THE WORLD'S LEADING INVESTMENT FUNDS LAWYERS

THE LEGAL 500-UNITED STATES (2009) Mergers, Acquisitions and Buyouts-Northeast

Listed in MASSACHUSETTS SUPER LAWYERS (2006-2011)

Digital Industries' Top Picks in Boston (2001): Best VC Lawyers

Phi Beta Kappa

 
ISLN902009293
 

Documents by this lawyer on Martindale.com

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New Registration Requirements for Cayman Islands Master Funds
Jeffrey D. Collins,Meredith A. Haviland,Peter M. Rosenblum, February 8, 2012
As the result of a recent amendment to the Cayman Islands Mutual Funds Law, master funds formed in the Cayman Islands may be required to register with the Cayman Islands Monetary Authority (CIMA). Prior to the passage of the Mutual Funds (Amendment) Bill 2011 (the “Amendment”) in...

Massachusetts Securities Division Adopts Regulations for Use of Expert Network Services by Investment Advisers
Jeffrey D. Collins,Peter M. Rosenblum, August 19, 2011
On August 8, 2011, the Massachusetts Securities Division (the “Division”) adopted regulations regarding the use of expert network services by investment advisers in Massachusetts (regardless of whether the adviser is registered with the Division or exempt from registration). Under new...

Connecticut Banking Commissioner Issues Orders Relating to Investment Adviser State Registration in Response to the Dodd-Frank Act for Investment Advisers Transacting Business in Connecticut
Jeffrey D. Collins,Peter M. Rosenblum, July 21, 2011
As previously discussed in a Foley Adviser dated June 22, 2011, the Securities and Exchange Commission (the “SEC”) issued final rule releases relating to the implementation and interpretation of amendments to the Investment Advisers Act of 1940, as amended (the “Advisers...



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Office Information

Peter M. Rosenblum
Foley Hoag LLP
155 Seaport Boulevard
Boston, MA 02210-2600




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