Companies need increased help in raising finance and complying with securities regulations.
The firm is sought after by both issuers and merchant banks as a leader in capital markets from regulatory perspectives for assistance with the most complex equity and debt securities offerings for compliance with the SEBI Regulations. Our expertise comes in bringing the regulatory thought behind for a possible non-approval and seeking solutions to it, or craftly worded representation to obtain one. We provide innovative solutions for nearly every type of capital market offering. Our team advises companies and investment bankers in preferential allotments, open offers, initial public offerings, follow-on public offerings, rights issues, and debt offerings as well as domestic and international mergers and acquisitions. This practice is complemented by our financial regulatory practice, which helps in interpreting the dynamic regulatory framework.
The Firm advises commodity exchanges, brokers and commodity trading houses, on regulation and interpretation of regulations dealing with commodities futures and options. We advise clients on structure and development of new products, regulation of commodity derivatives, novation in commodity derivatives, jurisdiction and powers of SEBI and interlinkages with warehousing laws and government notifications etc. We have advised clients in leading cases in the law of commodities.
Capital market intermediaries have to be smarter and more proficient to adapt to the changing markets and interpreting the manifold regulatory requirements. The Firm is the first choice for clients because of our ability to navigate every intricacy of the evolving capital market products and securities market regulations.
Exemptions | Clarifications from Regulators | Public Issues of Securities | Private Placement | Application for Registrations | Listing | Stock Exchange | ESOPs | Insider Trading | Securities Frauds | Commodity Derivatives