F. Ronald Ron OKeefe
Corporate Law
Corporate Law
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Ronald O’Keefe handles a wide range of corporate law for clients, including mergers and acquisitions, divestitures, spinoffs, securities, and corporate governance. He also provides guidance to financial-services clients. Ron enjoys taking a concept such as a merger and making it into reality by dealing with the various business, financing, regulatory and personnel issues along the way. He finds satisfaction in solving client challenges and brings 37 years of corporate experience to his clients.Ron is experienced in supervising and handling many aspects of federal and state securities work, including registration statements, prospectuses and related documentation for exempt and non-exempt offerings of various securities, including common stock, preferred stock, debentures and Regulation D offerings. He also handles Securities Exchange Act of 1934 reports, including proxy statement and Form 10-K disclosures, mergers and acquisitions and corporate-equity and debt financings.Ron has experience in representing special committees of boards of directors of publicly held companies with respect to various matters, including mergers and acquisitions, related party transactions, changes in control and going private transactions. In 2007, he was appointed Special Fiduciary Counsel to the board of the Ohio Bureau of Workers’ Compensation.Ron has broad and deep experience in financial institution regulation and in interacting with financial institution regulatory bodies on behalf of the firm’s clients. His experience includes assisting clients in preparing and filing regulatory applications, responding to reports of examination and entering into supervisory agreements. He also has advised clients with respect to compliance with regulatory capital requirements and investment limitations, as well as providing research and advice regarding all aspects of financial institution operations. Ronald O’Keefe handles a wide range of corporate law for clients, including mergers and acquisitions, divestitures, spinoffs, securities, and corporate governance. He also provides guidance to financial-services clients. Ron enjoys taking a concept such as a merger and making it into reality by dealing with the various business, financing, regulatory and personnel issues along the way. He finds satisfaction in solving client challenges and brings 37 years of corporate experience to his clients.Ron is experienced in supervising and handling many aspects of federal and state securities work, including registration statements, prospectuses and related documentation for exempt and non-exempt offerings of various securities, including common stock, preferred stock, debentures and Regulation D offerings. He also handles Securities Exchange Act of 1934 reports, including proxy statement and Form 10-K disclosures, mergers and acquisitions and corporate-equity and debt financings.Ron has experience in representing special committees of boards of directors of publicly held companies with respect to various matters, including mergers and acquisitions, related party transactions, changes in control and going private transactions. In 2007, he was appointed Special Fiduciary Counsel to the board of the Ohio Bureau of Workers’ Compensation.Ron has broad and deep experience in financial institution regulation and in interacting with financial institution regulatory bodies on behalf of the firm’s clients. His experience includes assisting clients in preparing and filing regulatory applications, responding to reports of examination and entering into supervisory agreements. He also has advised clients with respect to compliance with regulatory capital requirements and investment limitations, as well as providing research and advice regarding all aspects of financial institution operations. Ronald O’Keefe handles a wide range of corporate law for clients, including mergers and acquisitions, divestitures, spinoffs, securities, and corporate governance. He also provides guidance to financial-services clients. He also handles Securities Exchange Act of 1934 reports, including proxy statement and Form 10-K disclosures, mergers and acquisitions and corporate-equity and debt financings. Ron has experience in representing special committees of boards of directors of publicly held companies with respect to various matters, including mergers and acquisitions, related party transactions, changes in control and going private transactions. In 2007, he was appointed Special Fiduciary Counsel to the board of the Ohio Bureau of Workers’ Compensation. Ron has broad and deep experience in financial institution regulation and in interacting with financial institution regulatory bodies on behalf of the firm’s clients. His experience includes assisting clients in preparing and filing regulatory applications, responding to reports of examination and entering into supervisory agreements. He also has advised clients with respect to compliance with regulatory capital requirements and investment limitations, as well as providing research and advice regarding all aspects of financial institution operations.
Recognized in Best Lawyers since 2001
Helen Nguyen
Our company recently navigated a complex acquisition of a regional competitor, and we were fortunate to have Ron O'Keefe guiding us. His 50+ years of experience, particularly in M&A and corporate governance, were immediately evident. He anticipated issues we hadn't considered and structured the deal to protect our interests flawlessly. His recognition in banking and finance law was a reassuring credential, and his practical advice on post-merger integration was invaluable. The depth of knowledge he brings from his decades at Hahn Loeser is simply unmatched in Cleveland. While his billing is commensurate with his expertise, some communications during the due diligence phase could have been slightly more prompt. Overall, Ron is a consummate professional and a strategic asset for any significant corporate transaction.