Regulatory practice and securities law

This law firm advises clients in relation to the issues pertaining to securities law in India. The firm actively advices issues related to investments by foreign institutional investors and venture capital firms, the takeover and insider trading regulations, asset management, mutual funds, wealth management, corporate governance, trading and settlement, custody and depositories. The Firm is focused on being updated with the latest developments so that it is well positioned to provide timely and accurate advice to its clients. Several members of the Firm are in a position to engage in a constructive dialogue with the securities regulator which gives the Firm the advantage of open discussions and a better understanding of the regulatory mindset which goes on to providing more insightful advice to its clients.

The Firm has built up considerable experience in the offshore derivatives market and has been in the forefront of the regulatory developments in this area. The Firm has also advised several industry groups in this area.

The Firm has a deep understanding of related party and governance related issues which are unique to the Indian market and often the board of directors of leading Indian corporates and several prominent independent directors draw on the Firm’s experience to deal with corporate governance issues.

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