Mr. Radia is an experienced advisor on a wide range of corporate issues, including public and private securities offerings, securities law compliance, transactions involving venture capital and emerging companies, and mergers and acquisitions. His experience includes representing issuers and underwriters on a variety of securities transactions, including initial public offerings (IPOs), follow-on offerings, and uplistings. In addition to transactional work, he counsels clients on securities compliance matters, ongoing reporting requirements of publicly traded companies, corporate governance best practices, and various other matters affecting publicly-traded companies and their officers and directors.
Mr. Radia also has experience in the alternative investments industry and has advised sponsors and broker-dealers on a variety of private securities offerings including those exempt from registration by Regulation A and Regulation D under the Securities Act of 1933, for operating companies, Real Estate Investment Trusts (REITs), Business Development Companies (BDCs), Delaware Statutory Trust 1031 Exchange offerings, among others.
Memberships & Activities
- Member: Maryland State Bar Association
- Member: District of Columbia Bar Association
*Not admitted to practice in Virginia