The Firm has a large Securities Market practice which covers a full spectrum of domestic as well as international capital and debt market transactions by private as well as public undertakings, in divergent sectors.
Our advice is delivered by internationally qualified, experienced and committed professionals, who are experts in handholding and guiding clients through complex and demanding regulatory domain enabling them to achieve their commercial objectives.
Our Securities Market practice includes (1) Initial public offering (IPO); (2) Further public offering (FPO); (3) Private placement including Qualified Institutional Placement (QIP); (4) Rights issues; (5) Public offer / Private placement of units by Infrastructure Investment Trust (InvIT) / Real Estate Investment Trust (REIT); (6) Public issue / Private placements in both bond and debenture markets; (7) Issues of rupee denominated bonds and debentures, foreign currency convertible bonds and other securities; (8) Acquisition involving SEBI regulations, including acquisition of companies having stressed assets involving the RBI regulations; (9) Buy-back of securities; (10) Delisting of securities in accordance with SEBI regulations; (11) Advisory services to listed companies & market intermediaries in the areas of statutory & regulatory compliances.
Our scope of work includes drafting, negotiating, reviewing and finalizing the prospectus, offering circular, placement document, due diligence report, opinion, road show presentation, resolutions and various transactional agreements, deeds and documents, writing applications on behalf of clients to regulatory and statutory authorities in relation to the aforesaid transactions and liaising, interfacing and coordinating with such authorities seeking desired approvals, orders or clearances.
We also advise our clients and represent them before SEBI, Securities Appellate Tribunal and other regulatory bodies and forums in various matters relating to corporate & securities regulations.