Steve Quinlivan represents clients across the United States in mergers and acquisitions, ESOPs, REITs, securities regulation, securities offerings, international transactions and financing matters. Clients have noted that Steve offers "a rare combination of excellence and value." Steve uses his deep background in law, finance, accounting and project management to complete his clients' most strategically important and challenging transactions.
Steve's M&A experience includes cross-border transactions, asset purchases, public and private mergers, and tender offers. His securities offering experience includes private placements, initial public offerings, high-yield offerings, investment grade debt, securitizations and international offerings by foreign private issuers.
Steve regularly counsels clients on SEC reporting matters and has significant experience counseling boards of directors in corporate governance and liability related issues. He works with litigation teams defending officers and directors related to corporate matters. Steve advises public company boards and committees on matters regarding activist investors, compliance with fiduciary duties, proactive risk mitigation and audit committee and executive compensation matters.
Steve joined Stinson Leonard Street LLP in 1997 after seven years of corporate transactional practice in the New York, London and Hong Kong offices of Cravath, Swaine & Moore. He has five years of experience as a certified public accountant as an audit manager with Peat Marwick/KPMG Main Hurdman.
Industrial and Services Experience