- Underwriters' counsel in two offerings of a total of $5 billion of debt securities by the world's best-known beverage company.
- Dealer-managers’ counsel in two debt tender offers totaling $5 billion by the world’s best-known beverage company.
- Counsel to the world’s largest beauty supply store in a $300 million secondary equity offering.
- Counsel to a technology company for a $50 million self-tender offer of common stock.
- Counsel to one of America’s largest full-service restaurant companies in proxy contest against dissident hedge funds.
- Counsel to a technology company in the successful defense of a hostile takeover.
- Counsel to the director nominees of an acquirer in the successful hostile acquisition of a U.S. pharmaceutical company.
- U.S. counsel to for a cross-border hostile tender offer of one of the UK’s largest restaurant companies.
- Counsel to a worldwide leader in automotive safety in connection with corporate, securities and mergers and acquisitions.
- Counsel to the world’s largest beauty supply store in a $750 million 144A senior notes offering.
- Counsel to investors in numerous private placement investments in public companies.
- Counsel to a number of large investment firms and financial services entities with respect to beneficial ownership reporting and proxy issues.
- Counsel to the issuer in an equity offering of over $200 million.
- Counsel to the issuer in a hybrid debt offering of over $160 million.
- Counsel to a poultry company responding to a hostile $1.1 billion tender-offer and subsequent friendly tender-offer/merger.
- Counsel to a technology company in its buyback of common stock and related settlement of a proxy contest by a significant shareholder of the company.
- Counsel to a super-regional bank in connection with its merger of equals in a transaction valued at $6 billion.
- Counsel to the seller in a disposition of an employee staffing company in a transaction valued at $80 million.
- Counsel to institutional investors, hedge funds and other financial entities in complying with beneficial ownership reporting requirements.
- Counsel to a publicly traded telecommunications firm in a $2.6 billion leveraged buyout by an affiliate of the Carlyle Group.
- Counsel to a financial advisor in $9.2 billion spin-off and merger of telecommunication companies.
- Corporate and securities counsel to one of the world’s largest retailers of home improvement and building products.
David A. Brown focuses his practice on securities regulation, public and private mergers and acquisitions, public and private corporate finance transactions, friendly and hostile tender offers, proxy contests, going-private transactions, public company investments and general corporate matters. He has extensive experience and knowledge in the federal securities laws, including the SEC’s tender offer rules, proxy rules, going private rules and the beneficial ownership rules.
Dave regularly advises a range of listed companies in SEC reporting and disclosure requirements, corporate governance issues, establishment of corporate compliance programs and other corporate and securities matters. Additionally, Dave advises public and private companies and investment banking firms in mergers and acquisitions transactions. He also regularly advises hedge funds and other investment groups regarding the beneficial ownership rules and investments in public and private companies.
Dave is listed in The Best Lawyers in America© for his work in Securities/Capital Markets Law.
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Sustainability Spotlight April 2025Sustainability Spotlight | Q4 2024Welcome to the latest edition of the Sustainability Spotlight, your place to keep up with all the ESG action – federal and state enforcement, shareholder proposals and litigation, and state attorney general actions.Sustainability Spotlight April 2025Sustainability Spotlight | Q4 2024Welcome to the latest edition of the Sustainability Spotlight, your place to keep up with all the ESG action – federal and state enforcement, shareholder proposals and litigation, and state attorney general actions.
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In the News January 30, 2025CFO Dive | Trump’s Softer-Touch SEC May Ease CFO Regulatory BurdenDave Brown is quoted on the expectations for a less enforcement-minded Securities and Exchange Commission under President Trump.In the News January 30, 2025CFO Dive | Trump’s Softer-Touch SEC May Ease CFO Regulatory BurdenDave Brown is quoted on the expectations for a less enforcement-minded Securities and Exchange Commission under President Trump.
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In the News January 7, 2025CFO Dive | Walking a Tightrope: 6 CFO Trends for 2025Dave Brown is quoted on the nomination of Paul Atkins to lead the Securities and Exchange Commission under the Trump Administration.In the News January 7, 2025CFO Dive | Walking a Tightrope: 6 CFO Trends for 2025Dave Brown is quoted on the nomination of Paul Atkins to lead the Securities and Exchange Commission under the Trump Administration.
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Sustainability Spotlight December 2024Sustainability Spotlight | Q3 2024Welcome to the latest edition of the Sustainability Spotlight, your place to keep up with all the ESG action – federal and state enforcement, shareholder proposals and litigation, and state attorney general actions.Sustainability Spotlight December 2024Sustainability Spotlight | Q3 2024Welcome to the latest edition of the Sustainability Spotlight, your place to keep up with all the ESG action – federal and state enforcement, shareholder proposals and litigation, and state attorney general actions.
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Speaking Engagement December 6, 2024Society for Corporate Governance’s Southeastern Chapter Fall 2024 ConferenceDave Brown will speak on the “Navigating the Evolving Political and Judicial Landscape in Corporate America” panel, sharing his knowledge and experience on the ever-changing political and judicial rulings and their impact in the workplace.Speaking Engagement December 6, 2024Society for Corporate Governance’s Southeastern Chapter Fall 2024 ConferenceDave Brown will speak on the “Navigating the Evolving Political and Judicial Landscape in Corporate America” panel, sharing his knowledge and experience on the ever-changing political and judicial rulings and their impact in the workplace.
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In the News November 25, 2024Financial Times Agenda | ‘Interesting’ Uncertainty on the Docket for 2025 Proxy SeasonDave Brown is quoted on the likelihood that the Securities and Exchange Commission’s climate disclosure rules will “never see the light of day.”In the News November 25, 2024Financial Times Agenda | ‘Interesting’ Uncertainty on the Docket for 2025 Proxy SeasonDave Brown is quoted on the likelihood that the Securities and Exchange Commission’s climate disclosure rules will “never see the light of day.”
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Sustainability Spotlight October 2024Sustainability Spotlight | Q2 2024
Welcome to the latest edition of the Sustainability Spotlight, your place to keep up with all the ESG action – federal and state enforcement, shareholder proposals and litigation, and state attorney general actions. This edition features the SEC doubling its exclusions, Texas farmers claiming to be socially disadvantaged by the USDA, and state AGs playing both sides of the DEI coin.
Sustainability Spotlight October 2024Sustainability Spotlight | Q2 2024Welcome to the latest edition of the Sustainability Spotlight, your place to keep up with all the ESG action – federal and state enforcement, shareholder proposals and litigation, and state attorney general actions. This edition features the SEC doubling its exclusions, Texas farmers claiming to be socially disadvantaged by the USDA, and state AGs playing both sides of the DEI coin.
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Advisories September 27, 2024Securities Law Advisory: SEC Cracks Down on Individuals and Entities for Failure to Timely File Beneficial Ownership and Insider Trading ReportsOur Securities Group weighs in on the settlement by the Securities and Exchange Commission with 23 separate entities and individuals for alleged violations involving the failure to timely report ownership information.Advisories September 27, 2024Securities Law Advisory: SEC Cracks Down on Individuals and Entities for Failure to Timely File Beneficial Ownership and Insider Trading ReportsOur Securities Group weighs in on the settlement by the Securities and Exchange Commission with 23 separate entities and individuals for alleged violations involving the failure to timely report ownership information.
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Spectrum August 2024Structured Finance Spectrum - Summer 2024Welcome to the latest edition of the Spectrum, covering hot-topic issues in the structured finance markets in the U.S. and UK. This edition features the new UK securitization regime, eHELOCs, and climate risk disclosures.Spectrum August 2024Structured Finance Spectrum - Summer 2024Welcome to the latest edition of the Spectrum, covering hot-topic issues in the structured finance markets in the U.S. and UK. This edition features the new UK securitization regime, eHELOCs, and climate risk disclosures.
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Blog Posts July 2, 2024SEC Settlement Suggests the Agency’s Attempt to Regulate Cybersecurity Controls
On June 18, 2024, the SEC announced a $2.125 million settlement with R.R. Donnelley & Sons Co. (“RRD”) related to the company’s 2021 ransomware attack (the “Incident”). The settlement, and the SEC’s accompanying cease-and-desist order (the “Order”), portend the agency’s continued and increasing oversight over registrants’ cybersecurity policies and practices. Background RRD is a global […]
The post SEC Settlement Suggests the Agency’s Attempt to Regulate Cybersecurity Controls appeared first on Alston & Bird Privacy, Cyber & Data Strategy Blog.
Blog Posts July 2, 2024SEC Settlement Suggests the Agency’s Attempt to Regulate Cybersecurity ControlsOn June 18, 2024, the SEC announced a $2.125 million settlement with R.R. Donnelley & Sons Co. (“RRD”) related to the company’s 2021 ransomware attack (the “Incident”). The settlement, and the SEC’s accompanying cease-and-desist order (the “Order”), portend the agency’s continued and increasing oversight over registrants’ cybersecurity policies and practices. Background RRD is a global […]
The post SEC Settlement Suggests the Agency’s Attempt to Regulate Cybersecurity Controls appeared first on Alston & Bird Privacy, Cyber & Data Strategy Blog.
律師資格
- 哥倫比亞特區
- Utah
學歷
- Brigham Young University (法學博士, 2003)
- Brigham Young University (學士學位, 1999)
Memberships
- District of Columbia Bar Association
- Utah Bar Association
- American Bar Association
- Corporate & Finance
- Corporate & Business Transactions
- Mergers & Acquisitions
- Capital Markets & Securities
- REITs
- Financial Services
- Public Finance
- Corporate Governance
- Environmental, Social & Governance (ESG)
- Special Purpose Acquisition Companies (SPACs)
- Technology & Business Services Mergers & Acquisitions
- Industrials & Manufacturing
- DEI Strategy