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Andrew S. Rodman


Andrew S. Rodman
  1. People

Andrew S. Rodman

Andrew S. Rodman

Counsel


New York

Andrew S. Rodman
  1. People

Andrew S. Rodman

Andrew S. Rodman

Counsel


New York

Andrew S. Rodman

Counsel

New York

T: +1 212 541 1197

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  • Biography

  • Experience

Biography

Andrew Rodman regularly counsels domestic and foreign clients on securities matters, including capital markets transactions and compliance with SEC disclosure and exchange listing rules. He also advises public and private companies on corporate governance matters, acquisitions, dispositions and other general corporate affairs. Mr. Rodman has previously investigated and responded to brokerage sales practice issues and prepared policies and procedures on behalf of several major financial institutions.

Prior to attending law school, Mr. Rodman worked on the emerging markets finance desk at Lehman Brothers and at a mutual fund.

Admissions

  • New Jersey, 2002
  • New York, 2002

Education

Benjamin N. Cardozo School of Law, J.D., Order of the Coif, 2002

Syracuse University, B.A., 1993

Related Capabilities

Securities & Corporate Governance Securities & Corporate Governance

AdTech AdTech

PropTech PropTech

Debt Capital Markets Debt Capital Markets

  • Securities & Corporate Governance

  • AdTech

  • PropTech

  • Debt Capital Markets

Experience

  • Advised London Stock Exchange listed issuers on U.S. securities law matters in primary and secondary ordinary share offerings.
  •  Represented James River Group Holdings, Ltd. in multiple secondary offerings of its common shares with an aggregate value of approximately $520 million.
  • Represented IQVIA Holdings Inc. in a secondary offering of its common stock with a value of $1.2 billion.
  • Advised Greencore Group plc on U.S. securities law matters in connection with its £440 million rights offering.
  • Represented Reinsurance Group of America Incorporated in its $800 million offering of Fixed-to-Floating Rate Debentures and Senior Notes.
  • Represented SunEdison Semiconductor Limited in a secondary offering of its ordinary shares with a value of $279 million.
  • Represented James River Group Holdings, Ltd. in its IPO.
  • Represented NYSE issuers in their entry into joint ventures in Latin America.
  • Represented Piedmont Community Bank Holdings, Inc. in its acquisition of control of Crescent Financial Bancshares, Inc.
  • Represented a NASDAQ issuer in its going private transaction.
  • Represented an NYSE issuer in its offering of preferred stock and simultaneous redemption of a previously outstanding class of preferred stock.

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Related Insights

Blog Post
Mar 09, 2026
SEC grants conditional exemption to section 16 reporting for certain foreign private issuer insiders
Blog Post
Mar 02, 2026
SEC Adopts Final Rule Amendments Mandating Section 16 Reporting by Foreign Private Issuer Insiders
Blog Post
Feb 10, 2026
SEC Soliciting Comments on Potential Deregulation of Public Company Disclosures
Blog Post
Jan 27, 2026
Proxy Advisors Under Scrutiny: Regulatory And Legal Challenges Facing ISS And Glass Lewis
Blog Post
Dec 29, 2025
Foreign private issuer insiders to become subject to section 16 reporting
Blog Post
Oct 20, 2025
Should Your Company Consider Risks of an Artificial Intelligence Bubble?
Blog Post
Sep 30, 2025
SEC staff authorizes use of standing voting instructions by retail shareholders as way to boost participation
Blog Post
Sep 22, 2025
Divided SEC Clears Way for Mandatory Arbitration Clauses in Company Governance Documents
Blog Post
Sep 09, 2025
SEC Announces Topics for Future Rule Proposals to Ease Disclosure Requirements and Simplify Capital Raising
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