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James R. Terpstra


Associate

T: +1 (312) 609 7634
F: +1 (312) 609 5005
Chicago
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James R. Terpstra is an Associate in the firm’s Finance and Transactions group, which consists of the firm’s mergers and acquisitions, finance and corporate securities practices. He represents and advises clients in a broad range of general corporate and corporate transactional matters, including mergers and acquisitions and other corporate transactions.

Prior to joining Vedder Price, Mr. Terpstra was an associate with Mayer Brown LLP, where he focused his practice on mergers and acquisitions, securities matters and general corporate counseling and representation. He represented buyers and sellers in connection with stock and asset acquisitions and divestitures, public and private mergers, joint ventures and similar transactions. Mr. Terpstra has also represented investment fund sponsors in connection with the formation and ongoing governance of investment funds and companies and individuals in connection with SEC compliance and reporting.

Prior to joining Mayer Brown LLP, Mr. Terpstra worked in NYSE Regulation’s Market Surveillance Department, where he was the lead investigator in numerous NYSE Arca investigations involving exchange rule and federal securities law violations, including matters involving insider trading, wash trading, prohibitive odd lots, front-running, Regulation SHO, Regulation M, Regulation NMS and brokerage account intrusions. Mr. Terpstra also co-created and taught a course titled Regulation of Electronic Exchanges in the Chicago-Kent College of Law Financial Services LL.M Program.

 

Terpstra

Client Services
  Education
  • J.D., Chicago-Kent College of Law, 2006
  • B.S., Indiana University, Kelley School of Business, 2003

Bar Admissions
  • Illinois, 2007
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