We have a panel of expert lawyers who have full understanding of working of stock market, SEBI regulations and capital markets and regulation to its depths.We advise our clients on qualified institutional placements, issue of listed/unlisted non-convertible debentures, issue of international bonds, issue of FCCBs and GDRs, public offerings, portfolio management and related regulatory compliance matters, Reserve Bank of India (RBI) and Securities Exchange Board of India (SEBI) related issues and also represent our clients at inquiries, proceedings, and litigation before RBI, SEBI, the Securities Appellate Tribunal, High Courts and the Supreme Court of India. We are valued for our ability to continually track the pulse of capital markets and securities laws in India.
We help our clients with:
- Handling the legal issues pertaining to the securities (equity, debentures, etc).,;
- Tackle the legal issues pertaining to investment and corporate governance and counter unfair trade practices like insider trading;
- Litigates the matter before SEBI, Securities Appellate Tribunal, the investigation authorities or the adjudicating officer(s);
- Due diligence on securities transactions;
- Consultancy work on compulsions under the takeover code, insider trading regulations, delisting regulations, unfair trade practices regulations, and intermediaries’ regulations;
- Consultancy work to securities’ acquirers and merchant bankers;
- Undertaking various fundraising programs like IPOs, follow-on public offers, etc;
- Drafting various legal documents for communicating with SEBI, for legal proceedings;
- Assisting the companies in providing ESOPs for attracting and rewarding the Human Resource of the company.
- Drafting a code of fair disclosures, a code of conduct, memorandum of appeal
- Regulating Unfair Trade Practices