Peter Rivas is a partner in the firm's Banking & Financial Services Practice Group. He counsels clients on a wide range of corporate and securities matters, including mergers and acquisitions, public and private securities offerings, SEC reporting obligations, and corporate governance matters. He regularly represents bank holding companies, commercial banks, savings and loan holding companies, and savings banks on regulatory matters. Mr. Rivas also advises financial institutions with respect to various federal and state corporate and compliance matters.
Mr. Rivas has experience representing financial institutions in mergers and acquisitions, stock purchases, and asset purchases, for both public and private companies. His practice focuses primarily on transactions in the financial services industry and he has significant knowledge of the regulatory aspects of such transactions.
Mr. Rivas also advises boards of directors of financial institutions on bank regulatory issues, fiduciary obligations, public disclosure requirements, and corporate governance matters.
Mr. Rivas's practice involves representation of financial institutions in federal securities matters and in federal regulatory matters and actions.
Articles in the National Law Review database by Peter J. Rivas