Sullivan
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Biography

  • Representing and negotiating on behalf of one of the world’s largest banks in connection with its global derivatives exposure to the Lehman estate
  • Representing a global bank in the disposition of its asset management business
  • Structuring and negotiating the program documentation for an $8 billion origination and $6.5 billion commercial mortgage securitization business
  • Representing a consortium of some of the world’s largest asset managers in negotiations with the CFTC and SEC in connection with various Dodd-Frank regulatory issues
  • Representing bank creditor committees in connection with the restructuring of the public sector debt of Mexico, Argentina and Brazil
  • Representing a public company in a $1.5 billion convertible note issuance with a call-spread overlay
  • Structuring a $1.2 billion Peruvian toll road structured note financing
  • Structuring the first issuance of digital securities utilizing blockchain technology
  • Representing the City of Detroit in the unwinding of various swap transactions as part of Detroit’s bankruptcy filing
  • Starting the U.S. legal department for one of France’s largest financial institutions and overseeing the launch of its structured finance, commercial paper, securitization, derivatives, municipal finance and hedge funds U.S. lines of business
  • Structuring one of the first LBOs in France
  • Successfully negotiating for a global bank the return of $5 billion of collateral from AIG immediately prior to its U.S. government bailout
  • Structuring a $175 million senior convertible note private placement
  • Structuring a $500 million synthetic loan-linked total return swap facility
  • Structuring a $150 million equity-linked note issuance
  • Structuring a CDO-linked credit opportunity fund
  • Structuring a $250 million credit default swap facility acting as back-stop to a structured investment vehicle
  • Negotiating accelerated share repurchase transactions on behalf of multiple public companies
  • Structuring a $50 million total return swap facility backstopping a commercial paper conduit
  • Structuring a multi-asset revolving repurchase facility for mortgage whole loans, GNMA securities, participation certificates and other assets
  • Structuring a $90 million leveraged hedge fund of funds linked total return swap with embedded liquidity facility used to make monthly purchases of reference assets and notional adjustments to offset total return shortfalls
  • Structuring a repo facility secured financing intended to take out SPV-issued B notes issued to finance a pool of cross-collateralized hotel loans
  • Advising a global investment bank in structuring its real estate financing activities to satisfy Volcker Rule and risk retention requirements
  • Representing a CDO/CLO asset manager with respect to negotiating engagement letters, asset management agreements, warehouse lending agreements and other related documents
  • Structuring and documenting a $6 billion benefit-responsive investment contract program and $3 billion municipal guaranteed investment contract program
  • Structuring and documenting a $1 billion floater/inverse floater tender option bond program
  • Advising a non-U.S. bank’s asset manager arm on unwinding its hedge fund business and closing down a number of hedge funds
  • Advising a Singapore-based bank on its U.S. asset management activities and U.S. investment adviser requirements
  • Advising a non-U.S. bank on its U.S. commodity pool and commodity trading advisor activities
  • Advising a large U.S. bank on CFTC regulatory issues with respect to its registered swap dealer entity
  • Advising a large mutual fund group on restructuring its non-U.S. fund operations to conform to Dodd-Frank
  • Advising large foreign public sector pension plans on conforming their U.S. activities to comply with Dodd-Frank, investment adviser and commodity pool law requirements

Matters

  • Representing and negotiating on behalf of one of the world’s largest banks in connection with its global derivatives exposure to the Lehman estate
  • Representing a global bank in the disposition of its asset management business
  • Structuring and negotiating the program documentation for an $8 billion origination and $6.5 billion commercial mortgage securitization business
  • Representing a consortium of some of the world’s largest asset managers in negotiations with the CFTC and SEC in connection with various Dodd-Frank regulatory issues
  • Representing bank creditor committees in connection with the restructuring of the public sector debt of Mexico, Argentina and Brazil
  • Representing a public company in a $1.5 billion convertible note issuance with a call-spread overlay
  • Structuring a $1.2 billion Peruvian toll road structured note financing
  • Structuring the first issuance of digital securities utilizing blockchain technology
  • Representing the City of Detroit in the unwinding of various swap transactions as part of Detroit’s bankruptcy filing
  • Starting the U.S. legal department for one of France’s largest financial institutions and overseeing the launch of its structured finance, commercial paper, securitization, derivatives, municipal finance and hedge funds U.S. lines of business
  • Structuring one of the first LBOs in France
  • Successfully negotiating for a global bank the return of $5 billion of collateral from AIG immediately prior to its U.S. government bailout
  • Structuring a $175 million senior convertible note private placement
  • Structuring a $500 million synthetic loan-linked total return swap facility
  • Structuring a $150 million equity-linked note issuance
  • Structuring a CDO-linked credit opportunity fund
  • Structuring a $250 million credit default swap facility acting as back-stop to a structured investment vehicle
  • Negotiating accelerated share repurchase transactions on behalf of multiple public companies
  • Structuring a $50 million total return swap facility backstopping a commercial paper conduit
  • Structuring a multi-asset revolving repurchase facility for mortgage whole loans, GNMA securities, participation certificates and other assets
  • Structuring a $90 million leveraged hedge fund of funds linked total return swap with embedded liquidity facility used to make monthly purchases of reference assets and notional adjustments to offset total return shortfalls
  • Structuring a repo facility secured financing intended to take out SPV-issued B notes issued to finance a pool of cross-collateralized hotel loans
  • Advising a global investment bank in structuring its real estate financing activities to satisfy Volcker Rule and risk retention requirements
  • Representing a CDO/CLO asset manager with respect to negotiating engagement letters, asset management agreements, warehouse lending agreements and other related documents
  • Structuring and documenting a $6 billion benefit-responsive investment contract program and $3 billion municipal guaranteed investment contract program
  • Structuring and documenting a $1 billion floater/inverse floater tender option bond program
  • Advising a non-U.S. bank’s asset manager arm on unwinding its hedge fund business and closing down a number of hedge funds
  • Advising a Singapore-based bank on its U.S. asset management activities and U.S. investment adviser requirements
  • Advising a non-U.S. bank on its U.S. commodity pool and commodity trading advisor activities
  • Advising a large U.S. bank on CFTC regulatory issues with respect to its registered swap dealer entity
  • Advising a large mutual fund group on restructuring its non-U.S. fund operations to conform to Dodd-Frank
  • Advising large foreign public sector pension plans on conforming their U.S. activities to comply with Dodd-Frank, investment adviser and commodity pool law requirements

Matters

Matters

  • Representing and negotiating on behalf of one of the world’s largest banks in connection with its global derivatives exposure to the Lehman estate
  • Representing a global bank in the disposition of its asset management business
  • Structuring and negotiating the program documentation for an $8 billion origination and $6.5 billion commercial mortgage securitization business
  • Representing a consortium of some of the world’s largest asset managers in negotiations with the CFTC and SEC in connection with various Dodd-Frank regulatory issues
  • Representing bank creditor committees in connection with the restructuring of the public sector debt of Mexico, Argentina and Brazil
  • Representing a public company in a $1.5 billion convertible note issuance with a call-spread overlay
  • Structuring a $1.2 billion Peruvian toll road structured note financing
  • Structuring the first issuance of digital securities utilizing blockchain technology
  • Representing the City of Detroit in the unwinding of various swap transactions as part of Detroit’s bankruptcy filing
  • Starting the U.S. legal department for one of France’s largest financial institutions and overseeing the launch of its structured finance, commercial paper, securitization, derivatives, municipal finance and hedge funds U.S. lines of business
  • Structuring one of the first LBOs in France
  • Successfully negotiating for a global bank the return of $5 billion of collateral from AIG immediately prior to its U.S. government bailout
  • Structuring a $175 million senior convertible note private placement
  • Structuring a $500 million synthetic loan-linked total return swap facility
  • Structuring a $150 million equity-linked note issuance
  • Structuring a CDO-linked credit opportunity fund
  • Structuring a $250 million credit default swap facility acting as back-stop to a structured investment vehicle
  • Negotiating accelerated share repurchase transactions on behalf of multiple public companies
  • Structuring a $50 million total return swap facility backstopping a commercial paper conduit
  • Structuring a multi-asset revolving repurchase facility for mortgage whole loans, GNMA securities, participation certificates and other assets
  • Structuring a $90 million leveraged hedge fund of funds linked total return swap with embedded liquidity facility used to make monthly purchases of reference assets and notional adjustments to offset total return shortfalls
  • Structuring a repo facility secured financing intended to take out SPV-issued B notes issued to finance a pool of cross-collateralized hotel loans
  • Advising a global investment bank in structuring its real estate financing activities to satisfy Volcker Rule and risk retention requirements
  • Representing a CDO/CLO asset manager with respect to negotiating engagement letters, asset management agreements, warehouse lending agreements and other related documents
  • Structuring and documenting a $6 billion benefit-responsive investment contract program and $3 billion municipal guaranteed investment contract program
  • Structuring and documenting a $1 billion floater/inverse floater tender option bond program
  • Advising a non-U.S. bank’s asset manager arm on unwinding its hedge fund business and closing down a number of hedge funds
  • Advising a Singapore-based bank on its U.S. asset management activities and U.S. investment adviser requirements
  • Advising a non-U.S. bank on its U.S. commodity pool and commodity trading advisor activities
  • Advising a large U.S. bank on CFTC regulatory issues with respect to its registered swap dealer entity
  • Advising a large mutual fund group on restructuring its non-U.S. fund operations to conform to Dodd-Frank
  • Advising large foreign public sector pension plans on conforming their U.S. activities to comply with Dodd-Frank, investment adviser and commodity pool law requirements

Matters