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The Banking & Practice Group has expertise
in the legal aspects of banking, financial products & services,
capital markets, and licensing & regulatory compliance. Our
lawyers have advised, both local and foreign clients, on multi-jurisdictional
issues governing financial holding companies, mutual funds, mergers
& acquisition.
We act for many of the world's leading asset management and financial
services companies. Many of our cases involve not only Taiwanese
regulatory matters but also multi-jurisdictional issues. We advise
on the legal, regulatory and compliance issues associated with financial
products & services, and are actively involved in the structuring
and documentation development of such products & services.
We possess specialist knowledge in advising on the regulatory,
operational and corporate aspects in Taiwan's SFC-registered or
overseas jurisdiction-registered funds, private placements, IPOs
and public-listing. Our lawyers are experienced in advising various
types of private equity investments; and have represented leading
European, U.S. and offshore clients in Taiwan, which often involve
complex multi-jurisdictional issues.
In addition, we enhance our services by working closely with other
professionals including foreign lawyers, financial advisers, fund
managers, investment consultants and auditors. We have acted for
clients based in E.U. (in particular the U.K., Belgium, the Netherlands,
Luxembourg), the U.S., Bermuda, BVI and Cayman Islands.
Additionally, our firm is also fully capable in serving our clients'
needs when it comes to Real Estate Securitization Trusts. We are
deeply involved in this area whether establishing trust funds enterprises,
issuing, promoting funds, raising capital, designing the project
and putting the fund into the market, or researching regulations
and issuing legal opinions. The firm also cooperates with other
professionals in this field.
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