Adam B. Cohen, Managing Member.
Adam B. Cohen graduated from the University of Florida in 1993 and from Georgetown University Law School cum laude in 1997, having been elected to the Georgetown Law Journal. His legal experience at Latham & Watkins spanned approximately six years in two stints wrapped around two years in the middle when he was an investment banker for Lehman Brothers in Hong Kong. At Latham, he represented both investment banks and sponsor-backed issuers on dozens of high yield debt and equity offerings.
In 2005, Adam founded the Firm to serve the legal needs of institutional investors and then established Covenant Review as the world’s first boutique research firm focused on corporate bond covenants in order to provide institutional investors with perspectives on their rights as bondholders as seen through the eyes of experienced practicing lawyers. He was one of seven contributors to the American Bar Association’s Model Negotiated Covenants Project and is on the executive committee of the Credit Roundtable where he was instrumental in the development of the “White Paper” for model covenants for the investment grade universe. Adam has been quoted and/or published in publications such as Barron’s, Bloomberg, Credit Investment News, Credit Magazine, Grant’s Interest Rate Observer, High Yield Report, International Financial Law Review, and Leverage World, and he regularly lectures on covenant issues to investment professionals and other attorneys.
Richard N. Tilton, Of Counsel.
Richard N. Tilton graduated from Wesleyan University and Cornell Law School. He has been a corporate bankruptcy attorney for over 30 years, representing clients in complex reorganizations, workouts, and restructurings. His notable projects have included representing a group of creditor banks in the Chrysler restructuring and the equity committee in the Chapter 11 reorganization of Public Service Company of New Hampshire. His clients have included bondholders, committees of unsecured creditors, indenture trustees, and shareholders. He has a national reputation as an expert in distressed mergers & acquisitions and Section 363 sales, and has written or edited three books on the subject. In 2006 he edited and co-wrote the 1,100 page treatise Bankruptcy Business Acquisitions, Second Edition, published by the American Bankruptcy Institute (ABI). Rick was the co-chair of the ABI’s Committee on Asset Sales for 14 years.
In addition to representing creditors, Rick has represented debtor companies in Chapter 11, including confirming a pre-packaged Chapter 11 plan for a public company that was confirmed within 50 days. In his legal practice, Mr. Tilton advises investors in financially distressed real estate. He has developed and implemented successful acquisition strategies for hotels, resorts, office buildings, shopping centers, health care facilities, and multi-family housing. He also advises secured creditors restructuring distressed real estate loans. Additionally, he advises committees of subordinated debtholders on debtor-in-possession issues.
Anthony P. Canale, Attorney.
Anthony P. Canale graduated from Columbia University cum laude in 1994 and University of Texas at Austin Law School with honors in 1997. He began his career at Latham & Watkins and worked representing both issuers and underwriters in 144A high yield debt securities transactions; representing issuers in several registered offerings of both equity and investment grade debt securities; structuring various corporate issuances with units, warrants, guarantees, subordination and original issue discount; and coordinating registered debt exchange offers (including DTC compliance issues) for previously placed issuances of high yield debt securities. Following that, he worked at Vinson & Elkins principally representing investment firms in negotiating LBOs and related financing. Anthony subsequently practiced securities law as a solo practitioner before going in-house with his largest client as Senior Counsel of broadband provider Wayport, Inc. Subsequently, Anthony was the General Counsel of the listed public company Debt Resolve. Anthony began working with the Firm in 2007.
Christopher Chaice, Attorney.
Christopher Chaice graduated from Syracuse University in 1992 and from New York University School of Law, cum laude, in 1999. From 1999 to 2005, Chris practiced law at Cahill Gordon & Reindel where he specialized in capital markets transactions, primarily representing underwriters of high yield and investment grade bonds. Following that, Chris practiced law at Willkie Farr & Gallagher where he specialized in general corporate representation, including representing a large finance-oriented information and media company in its dealings in the U.S. and foreign markets. Chris subsequently worked at Southpaw Asset Management, a Greenwich, Connecticut-based credit oriented hedge fund, where he analyzed event-driven investment opportunities relating to bankruptcies, restructurings, mergers, liquidations, and litigation. His work at Southpaw included substantial analysis of indentures, credit agreements, and plans of reorganization. Chris began working with the Firm in 2008.
Alexander Diaz-Matos, Attorney.
Alexander Diaz-Matos graduated cum laude from Oberlin College in 1999, obtained a law degree from the University of Pennsylvania Law School in 2002, and received an L.L.M. (master of laws) from the University of Amsterdam in 2003. Alexander has analyzed a wide array of corporate bonds since joining the Firm in 2006. He is principally focused on investment grade issuers with perceived event risk and analyzing the critical variances that may result in covenant arbitrage opportunities among their bonds.
Holt Goddard, Attorney.
Holt Goddard graduated from the University of Florida in 1988, received an MBA from Yale University in 1992, and graduated Columbia Law School in 1995. He practiced law at Cravath, Swaine & Moore from 1995 to 2000 and again from 2005 to 2009. In between, he worked at the law firm of Debevoise & Plimpton and spent two years as an investment banker covering telecommunications companies at Salomon Smith Barney. In his legal practice, Holt has specialized in corporate finance and capital markets transactions, representing both issuers and underwriters in dozens of leveraged finance transactions. Holt began working with the Firm in 2009.
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