Russell Quarles
Lawyers
Associate in our Financial Institutions practice.
Russell helps U.S. and non-U.S. G-SIBs, U.S. regional banks, fintechs and other financial institutions navigate the complex and evolving regulatory landscape. He advises clients on matters relating to strategic bank regulatory decisions, financial regulatory reform, resolution planning, the Bank Holding Company Act, enforcement actions and emerging financial regulatory issues. His practice also includes regulatory advice to U.S. and non-U.S. banks on a variety of transactional matters, including capital markets offerings, ongoing disclosure obligations and M&A transactions.
Experience
Recent Work
- JPMorgan Chase medium-term note program
- JPMorgan Chase medium-term note program
- UMB Financial $110 million notes offering
- SVB Financial Group $800 million notes offering
- Banco Santander (Brasil) spinoff and Nasdaq listing of Getnet
- SVB Financial $2.25 billion concurrent offerings of notes and preferred stock
- Remitly Global $522.9 million IPO
- SVB Financial Group $1.25 billion stock offering
- SVB Financial $1.5 billion concurrent offerings of notes and preferred stock
- loanDepot $600 million senior notes offering
- SVB Financial Group $1 billion stock offering
- SVB Financial $1.25 billion senior notes and perpetual preferred stock offerings
- Hydrofarm Holdings Group $199 million IPO
Insights
Education
J.D., Northwestern University Pritzker School of Law
- cum laude
- Articles Editor, Northwestern University Law Review
B.A., Economics and Political Science, Clemson University
- summa cum laude
Qualifications and admissions
- State of New York