FacultyFaculty/Author Profile
Cecil D. Quillen III

Cecil D. Quillen III

Linklaters LLP

London England, , GBR


Cecil Quillen is a London-based U.S. partner of Linklaters LLP, and is the leader of the Firm’s global U.S. securities practice. He works on a broad spectrum of securities and finance matters, with a special emphasis on cross-border offerings of debt and equity securities, particularly emerging-markets, investment-grade and high-yield/covenant-intensive debt securities, and is also actively involved in U.S.-related aspects of the Firm’s structured finance practice. Cecil regularly speaks at a variety of professional conferences, is an officer of the Securities Law Committee of the International Bar Association and chairs its Underwriting and Distribution Subcommittee, sits on the Advisory Committee for Securities Regulation in Europe of the Practising Law Institute and served from 2005 until 2016 as a member of the board of directors of the High Yield Division of the Association for Financial Markets in Europe (formerly the European High Yield Association).

Cecil became a partner of Linklaters in 1996 and was resident in the Firm’s New York office before transferring to the London office in 2000. He was educated at Harvard (A.B., 1985) and the University of Virginia (J.D., 1988), clerked for Hon. John D. Butzner, Senior Circuit Judge, U.S. Court of Appeals, Fourth Circuit, and practiced for a number of years at a large New York-based law firm, before joining Linklaters. He is admitted to practice in New York and the District of Columbia.
Cecil D. Quillen III is associated with the following items:
CHB Chapters  CHB Chapters MAR and Omnibus II—Prospectus Directive: The Practical Impact - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Liability Management/Restructurings - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
U.S. Developments - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Web Segment  Web Segment Executing Cross-Border Capital Markets Deals – Practical Issues and Market Trends - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Wednesday, February 07, 2018
MP3 Audio  MP3 Audio Executing Cross-Border Capital Markets Deals – Practical Issues and Market Trends - Executing Cross-Border Capital Markets Deals – Practical Issues and Market Trends, Wednesday, February 07, 2018
MP4 - Mobile Video Seg  MP4 - Mobile Video Seg Executing Cross-Border Capital Markets Deals – Practical Issues and Market Trends - Executing Cross-Border Capital Markets Deals – Practical Issues and Market Trends, Wednesday, February 07, 2018
On-Demand Web Programs  On-Demand Web Programs Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Friday, February 09, 2018, London
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