The Firm has an active Capital Markets & Securities Laws practice covering the entire spectrum of Capital Markets activities for listed entities such as:-
(i) Initial Public Offerings (IPO’s);
(ii) Rights issues;
(iii) Private placements in both bond & equity markets;
(iv) Advisory services to listed companies & market intermediaries in the areas of statutory & regulatory compliances, including signing off on day-to-day compliance obligations, assisting with registrations for operating in the Indian market with the Securities & Exchange Board of India (SEBI), for various types of intermediaries ranging across Mutual funds, Venture Capital funds, Asset Management companies, Stock Brokers, Underwriters;
(v) Defending regulatory action in various fora including SEBI, Securities Appellate Tribunal, High Courts and the Supreme Court of India; and
(vi) Acquisition involving the Takeover code.