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Randolph A. Moore, III

Partner


Randy Moore is a partner in the Financial Services & Products Group whose practice focuses on the areas of mergers and acquisitions, securities compliance and banking regulation, along with corporate governance matters. He represents private and public financial institutions and investment banking firms with a particular focus on financial institutions, including banks and depository institutions, insurance companies and agencies and investment advisers.

Randy regularly provides advice to both buyers and sellers in all types of complex business transactions, including mergers, purchases of stock and assets, purchases and sales of divisions and joint ventures. He represents financial institutions and investment banks in public and private offerings of debt and equity securities, including investments in common stock, preferred stock, subordinated debt, trust preferred securities and hybrid securities. Most recently, as a member of the Financial Markets Crisis Task Force, Mr. Moore is advising clients on the various emergency economic initiatives undertaken by the federal government to address the economic crisis, including advising financial institutions on their participation in, and exit from, the TARP Capital Purchase Program implemented by the U.S. Department of the Treasury along with the recently passed application and implementation of the Dodd-Frank Wall Street Reform and Consumer Protection Act.

Representative Experience

  • Represented one of the largest U.S. bank holding companies in the acquisition of an insurance agency for approximately $250 million, resulting in the 10th largest U.S. insurance agency.
  • Represented one of the largest diversified insurance companies in its $1.2 billion sale of variable life insurance and annuity businesses and its proprietary mutual fund complex.
  • Represented a super-regional bank in connection with its merger of equals in a transaction valued at $6 billion.
  • Represented issuers and underwriters in community bank offerings raising in excess of $3 billion of capital.
  • Represented one of the world’s largest providers of group and individual income protection products in connection with common stock offerings of $935 million, $500 million of senior and subordinated debt and $575 million of adjustable conversion-rate equity security units, and $150 million of subordinated debt.
  • Represented an investment adviser in its sale of control/joint venture with a deal value in excess of $120 million.


Publications
August 2010
July 14, 2009
March 2009
"Strengthening the Balance Sheet and Maintaining Liquidity: Keeping a Steady Hand in 2009," Critical Issues Facing Bank CFOs – Bank Director, March 2009.

Randolph A. Moore, III

One Atlantic Center
1201 West Peachtree Street
Atlanta, GA 30309-3424
Phone: 404-881-7794
Fax: 404-253-8340

Education

  • University of Virginia
    (J.D., 1994)
  • American University
    (B.A., B.A., 1988)

Admitted to Practice

  • Georgia