Brian is a partner in Mayer Brown’s New York office and a member of the Capital Markets practice. He focuses on representing U.S. and foreign private issuers, sponsors and investment banks in registered and unregistered securities offerings, including initial public offerings, follow-on offerings, private placements (including Rule 144A and PIPE transactions), at-the-market offerings, registered direct offerings, liability management transactions, preferred stock and debt offerings and secondary offerings on behalf of issuers in a variety of industries.
Brian earned his JD at the George Washington University Law School.