Sean Kehoe's practice focuses on corporate finance, mergers and acquisitions, securities regulation and regulatory matters for a wide variety of business organizations and financial institutions. Mr. Kehoe counsels both issuers and underwriters in public and private offerings of debt and equity securities and in corporate compliance matters involving SEC reporting and disclosure requirements. He advises corporations and financial institutions on business combinations, corporate reorganizations, stock and asset purchase transactions and going private transactions. Mr. Kehoe serves as counsel to boards of directors and board committees on corporate governance matters, public disclosure obligations and Sarbanes-Oxley compliance. Mr. Kehoe has extensive experience in advising financial institutions with respect to various transactional and regulatory matters, including mutual-to-stock conversions, stock and no-stock mutual holding company reorganizations, charter conversions, trust preferred securities issuances and branch and deposit acquisitions.
- George Mason University School of Law, J.D., Corporate and Securities Law Specialty Track (1995)
- University of Virginia, B.A. (1992)
- District of Columbia
- Commodity Futures Trading Commission — Bruce C. Levine