Sunjeet S. Gill Presents at Association of Corporate Counsel Greater Philadelphia Corporate & Securities CLE Institute
VALLEY FORGE, PA, March 9, 2016 – Stevens & Lee Shareholder Sunjeet S. Gill presented at the Association of Corporate Counsel Greater Philadelphia’s Corporate & Securities CLE Institute on February 17, 2016, in Philadelphia, PA.
Mr. Gill presented “2016 Meeting Date Set … Now What?” to an audience of in-house attorneys. With annual shareholder meeting season in full swing, the presentation focused on the latest developments, trends and takeaways in connection with upcoming 2016 annual meetings, including dealing with proxy advisory firms, proxy access, shareholder matters and SEC proposed rules.
Mr. Gill focuses his practice on mergers and acquisitions, joint ventures, securities offerings and similar transactions for clients in various industries. In recent years, he has focused on transactions involving financial services, energy, manufacturing and retail companies. He represents business enterprises, investment banking firms, financial sponsors, executives, shareholders, boards of directors and special board committees in their capacities as purchasers, sellers, borrowers, lenders and financial advisors. Mr. Gill also assists clients in both routine corporate matters and complex strategic, corporate governance, regulatory and transactional issues, including fiduciary duties, corporate control and takeover defense advice and proxy contests.
Mr. Gill assists clients with mutual-to-stock conversions, equity and debt capital market transactions, such as initial public offerings, SEC-registered secondary offerings, private placements, registered and exempt debt issuances and alternative risk transfer transactions. On behalf of clients, he also has worked on a wide variety of matters with federal and state regulatory agencies, including the Securities and Exchange Commission, the Board of Governors of the Federal Reserve System, the Federal Deposit Insurance Corporation, the Office of the Comptroller of the Currency, the Consumer Financial Protection Bureau, and state banking and insurance departments, and other governmental agencies and self-regulatory organizations, such as the NYSE, NASDAQ, FINRA and the National Association of Insurance Commissioners.
He holds a J.D. from Santa Clara University School of Law and a B.A. from Georgetown University.