An integrated and multidisciplinary practice group, our Financial & Regulatory Services Practice is made up of a team of lawyers from banking, securities, insurance, investment funds, MPF/ pensions, corporate/ M&A , investigations and dispute resolution areas. We work on a wide range of financial services matters, including structuring of various on-shore and off-shore banking and financial services operations, advising on developing and marketing of financial products, counseling on licensing and compliance issues, acting on acquisitions, disposals and restructures, and representing financial intermediaries in connection with disciplinary proceedings and dispute resolution proceedings.
With a broad network across the Asia Pacific and worldwide, we offer cutting-edge cross-border and local legal capabilities and industry knowledge on financial services matters.
Our clients include banks, investment banks, private banks, insurance companies, private equity funds, fund managers, local and international brokerage groups, trustee companies and multinational insurance groups.