News
SEC rule amendments to require electronic submission of Form 144 filings and “glossy” annual reports
24 June 2022
PartnerNew York
Email [email protected]hoganlovells.com
Phone +1 212 909 0616
Fax +1 212 918 3100
Practice groupCorporate & Finance
For over a quarter of a century, Rob Ripin has advised on cutting-edge capital markets and other finance transactions. His transactions routinely win year-end "best of" awards from leading industry publications.
Rob currently focuses on cross-border capital raising. Issuers, underwriters, and financial intermediaries, such as corporate trustees, call on Rob for his knowledge, experience, and practical guidance on their most complex transactions.
He established the U.S. securities law practice for Lovells (our London-based legacy firm) in the late 1990s. In the early 1990s, he helped to develop the settlement structures for Regulation S/Rule 144A transactions, which are now standard for capital markets transactions.
In addition to his transactional practice, Rob also advises on corporate governance matters, SEC compliance, and issues under the U.S. Investment Company Act of 1940.
Capital Markets: Debt, Notable Practitioner
IFLR1000
Capital Markets: Equity, Notable Practitioner
IFLR1000
Education
J.D., New York University, 1988
B.A., Columbia University, 1985
Memberships
American Bar Association
Bar admissions and qualifications
New York
BNY Mellon – Represented Indenture Trustee in connection with the Peruvian project finance variable rate note issuance by Red Dorsal Finance Limited.
Ishaan Real Estate plc – Acted for Ishaan on its £207m Regulation S/Rule 144A offering and admission to trading on AIM.
Represented arranger in connection with establishment of Principal At-Risk Variable Rate Note Program under which Queen Street Limited issued a total of €170m of bonds.
News
24 June 2022
Announcements
24 May 2022
Awards and Rankings
14 July 2020
Publications
22 November 2016
Published Works
2016
Hogan Lovells Publications
13 June 2012