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Financial Markets Regulations
Our Financial Markets Regulatory Group advises our clients in order for them to comply with banking and stock exchange laws and regulations, in particular with respect to their disclosure requirements.
We also assist our clients within the framework of investigations and enforcement actions carried out by the Financial Markets Authority.
As its lawyers are also involved in stock exchange transactions, our Financial Markets Regulatory Group has a deep knowledge of such transactions which allows us to assist our clients with the greatest efficiency when they are involved in an investigation procedure or in an enforcement action.
Contacts:
Pierre-Arnaud Conchon: pac@bms-avocats.com
Sylvia Spalter: spalter@bms-avocats.com |