Robin Sampson is counsel in the Corporate and Securities Practice Group. A significant portion of her practice is in the areas of antitrust counseling and regulatory approval of business transactions. Robin has prepared dozens of antitrust regulatory filings under the Hart-Scott-Rodino Antitrust Improvements Act, as amended, and has advised scores of clients on the nuances of the rules under the Act and its filing requirements. She also has worked with local counsel in Europe to coordinate filings under the antitrust and competition laws of other countries.
Robin possesses solid transactional skills in the areas of mergers and acquisitions, private placements, joint ventures (for both startups and mature entities) and other complex business transactions. She has worked with a wide variety of nonprofit organizations in areas as diverse as formation, finance, restructuring, corporate counseling and winding up, and dissolution. Her general corporate and antitrust experience includes the representation of both for-profit and nonprofit health care entities.
Professional Activities and Background. Prior to Robin's law career she was involved in education policymaking and higher education finance in Washington, D.C., where she worked for the Advisory Committee on Student Financial Assistance and the Consortium for the Advancement of Private Higher Education. |