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Practice areas

 

Banking, Finance, Capital Markets, Securities

Lawyers in this practice group provide advice and assistance to corporations and financial institutions in the following areas:
  • public and listed companies, regulatory;
  • public offerings of securities, prospectus obligations, disclosure requirements;
  • IPO's, de-listings, other market transactions;
  • public tender offers, bids and take-overs;
  • banking, insurance and investment firms, regulatory;
  • financial services;
  • asset management and investment advice;
  • collective investment institutions;
  • (regulated) financial markets;
  • monetary law, exchange transactions;
  • financial supervision, CBFA (Banking, financial and insurance Commission).
 
 
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