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Law and regulation of listed issuers
The firm's areas of specialization include legal and regulatory consultancy for issuers listed on regulated markets and multilateral trading systems, with particular regard to:
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Timely regulatory update
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Assistance in disclosure obligations towards the market, the public and the Supervisory Authorities (personal transactions, share capital, privileged information, etc.)
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Assessment of the aspects relating to market abuse (confidential nature of the information, treasury share transactions, establishment and maintenance of the insider list, etc.)
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Corporate governance
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Exercise of voting rights
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