Representation and advice on Capital Market Law violations before the Authority and competent committees.
We represent clients in matters arising under the Capital Market Law and its Implementing Regulations, whether before the Capital Market Authority or the Committees for the Resolution and Appeal of Securities Disputes. Our work includes litigation relating to insider trading, market manipulation, misleading conduct, unlawful disclosure, and breaches of listed-company rules. We also provide preventive advice to companies and investors and help establish compliance systems that reduce liability exposure and strengthen market confidence.
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