Principal
Principal
(248) 879-2000
(248) 267-3283
and access,
Brad Arbuckle focuses his practice on structuring and executing business transactions and on corporate and securities matters, bringing value to a wide array of commercial transactions. His practice specialties include mergers and acquisitions, corporate and commercial law, corporate governance and securities, private equity, venture capital, equity and debt financing, international transactions, joint ventures and general corporate matters. His clients include publicly traded companies, investment funds and equity funds, financial institutions, privately held companies and corporate governing boards. As a member and co-leader of the firm's Automotive Practice, Brad has been involved in the full range of legal issues affecting clients involved in the automotive industry. He has a wealth of experience in automotive industry transactions, including mergers, dispositions, acquisitions, Section 363 acquisitions in bankruptcy, joint ventures and alliances, contract drafting negotiations and disputes, licensing, recapitalizations and refinancings, and distressed supplier/customer dealings. His experience enables him to effectively advise clients on business strategies for their business affairs and operations. Brad has substantial experience in securities regulation for publicly and privately held companies in a variety of industries, including banking, insurance, utility, natural resources, manufacturing and consumer goods. He advises clients regarding compliance with the Sarbanes-Oxley Act, the Securities Exchange Act of 1934, the Securities Act of 1933, and the Investment Company Act of 1940, Regulation FD, and Rule 144 (regarding re-sales of securities acquired in non-public transactions). He also provides general analysis and advice regarding registration, reporting and disclosure issues. Brad has structured, negotiated and closed public offerings (including IPOs) and private offerings of equity and debt (including mortgage-backed securities), syndications of limited partnership interests, and mergers and acquisitions of publicly-held and closely-held entities (including financial institutions, insurance companies and other regulated entities). He regularly prepares and reviews proxy statements for annual meetings, special meetings and proxy contests involving public companies, reports on Form 10-K, Form 10-Q and Form 8-K, and Forms 3, 4 and 5, which report securities transactions by directors, officers and other corporate insiders. He also has extensive experience in private placements and secured and unsecured financing transactions. Brad has substantial experience in planning, negotiating and implementing various types of merger and acquisition transactions, representing both acquiring and acquired companies. Types of transactions that he has structured and negotiated include asset sales, straight mergers, reverse triangular mergers, share purchases, share exchange transactions and going-private transactions.