John is a securities and capital markets attorney experienced in advising public and private companies on disclosure and compliance matters, capital market transactions, corporate governance, and general corporate matters. He counsels public companies on SEC disclosure and compliance, ’34 Act reporting obligations, stock exchange listing requirements, proxy disclosures and annual meeting matters, day-to-day corporate governance issues, and other general corporate matters. John also represents issuers in various transactions involving securities, including initial public offerings, follow-on offerings, continuous offerings, tender offers, and private placements.
Before joining the firm, John gained experience as a corporate associate in the Minneapolis offices of an Am Law 100 firm and an Am Law 200 firm. He also served as a judicial extern for the Honorable Donovan W. Frank, Senior U.S. District Judge for the District of Minnesota
John earned his law degree, cum laude, from the University of Minnesota Law School, where he was a managing editor of the Minnesota Journal of International Law, and his undergraduate degree from the University of Sheffield.