Chris Hilbert

Partner
Norton Rose Fulbright US LLP

New York
United States
T:+1 212 318 3388
New York
United States
T:+1 212 318 3388
Chris Hilbert

Chris Hilbert

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Biography

Chris Hilbert is a transactional lawyer and business law advisor who joined the New York office in 2013. Chris handles US M&A and securities issuances and other financings. He also regularly advises on (1) compliance with US federal securities laws, (2) corporate governance requirements and best practices (under state and federal laws and stock exchange requirements) and (3) significant commercial contract matters (terms, negotiation and compliance).

While he has represented both US and non-US clients, Chris has substantial experience advising entities from across Canada in making acquisitions, divestitures and investments in the US (or in transactions that may be subject to US regulation) and in raising capital in the US through publicly offered and privately placed debt and equity. He is familiar with the cross-border elements of these transactions, including the SEC rules, interpretations and accommodations for foreign private issuers and for Canadian companies eligible to use the MJDS system. For Canadian clients, he handles MJDS registration statements, MJDS 1934 Act reporting and the application of the SEC's rules regarding cross-border acquisitions and business combinations. 

For many years, he has had the privilege of representing a Canadian client that is one of the leading global transportation manufacturers in multiple acquisitions around the United States, in numerous financings and on day-to-day issues.

Chris has also for many years represented companies in the energy industry.

Chris and his team are periodically brought in to help existing or new clients handle various problems, such as (1) the legal issues in a contract dispute or difficult negotiation, (2) the separation of business units that have been intertwined with others in the same entity where the units are to be sold separately or (3) the orderly wind-down of a regulated business.

He has been recognized several times by BTI Consulting Group as a "client service all-star" for providing exemplary service, based on recommendations by corporate counsel at Fortune 1000 and other large companies.


Professional experience

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JD, cum laude, Harvard University, 1976
BA, summa cum laude, Phi Beta Kappa, Economics, Amherst College, 1973

  • New York State Bar
  • Representing Canadian and other non-US companies in acquisitions, joint ventures and divestitures across the US in the aerospace, rail transportation, energy, food products, retail and other industries
  • Representing issuers in public and private capital markets transactions of all sizes in the US, including registered public offerings and many Rule 144A offerings 
  • Representing Canadian companies engaged in Canadian acquisitions and business combinations where the level of US shareholdings requires the filing of a registration statement with the SEC or compliance with an exemption from registration
  • Representing institutional investors and investment funds in equity and equity-related investments in the US
  • Providing ongoing corporate governance, securities law compliance and general business law advice to US, Canadian and other companies, institutions and investors
  • "2019 Guide to Foreign Private Issuer status: How to preserve it and what it provides to non-US companies," discussing certain important aspects of US federal securities laws, Norton Rose Fulbright Publication, June 2019
  • "Checklists to help companies manage risks," Norton Rose Fulbright Publication, May 2019
  • "MJDS Public Offerings in the US," an overview of key points a Canadian MJDS company should be aware of when conducting a US public offering, March 2015
  • "Questions for Directors When a Company Expands into New Jurisdictions," NYSE Governance Series, September 2014
  • "The Proactive General Counsel," CCCA World Summit in Toronto, September 2010
  • "The Donaldson Years at the SEC," Taking Stock; Challenge and Change in Securities Regulation, Queens University, 2005
  • Moderator of panel discussing "100% Clean Power in New York by 2040," New York Energy Week, New York City, June 2019
  • "Public Offerings," presented at the Osgoode Hall Law School Conference on Fundamentals of US Securities Laws, Toronto, March 2015
  • "Issues Directors Face When a Company Operates Outside its Home Country," 11th Annual Boardroom Summit, NYSE Governance Services, New York City, September 2014
  • Moderator, Canadian Corporate Counsel World Summit, Toronto, Canada, September 2010
  • "Securities Offerings in the United States," presented at the National Centre for Business Law (UBC) Roundtables on Securities Offerings in the Global Marketplace, held across Canada in Montreal, Toronto, Calgary and Vancouver, November 2007
  • "The Donaldson Years at the SEC," presented at the Queen's Annual Business Law Symposium, Ontario, October 2005
  • Pro bono counsel to enCourage Kids Foundation, New York City
  • Former member of The Banff Centre Board of Governors, Alberta, Canada