Shane Hansen practices in the area of financial services regulation of banks, broker-dealers, investment advisers, financial planners and money managers. He regularly advises clients about business, corporate, banking and securities laws and regulations. He has substantial experience involving mergers, acquisitions and sales of financial institutions and their assets.
ALL-STAR BIOGRAPHY
Shane Hansen practices in the area of financial services regulation of banks, broker-dealers, investment advisers, financial planners and money managers. He regularly advises clients about business, corporate, banking and securities laws and regulations. He has substantial experience involving mergers, acquisitions and sales of financial institutions and their assets.
WHAT CLIENTS SAY
"Shane takes the time to focus on the relationship with us."
"He ensures we've met all of our goals and objectives."
MY CLIENT PHILOSOPHY
"M&A advisors, brokers and registered investment bankers serving privately-owned business sellers or buyers have new cost-savings and business development opportunities under federal and state securities laws. SEC-registered broker-dealers handling these private M&A transactions can bifurcate or jettison their own broker-dealer registrations to reduce their regulatory overhead costs, even while working with other registered broker-dealers to share transaction-based compensation through referrals of qualifying M&A transactions. My decades-long securities practice helps M&A professionals navigate through these federal, state and FINRA regulatory reefs and opportunities."
– Shane B. Hansen
ALL-STAR BIOGRAPHY
Shane Hansen practices in the area of financial services regulation of banks, broker-dealers, investment advisers, financial planners and money managers. He regularly advises clients about business, corporate, banking and securities laws and regulations. He has substantial experience involving mergers, acquisitions and sales of financial institutions and their assets.