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Capital markets and exchange regulations

As SIX Swiss Exchange recognized qualified issuer representatives, we competently assist companies and banks in IPOs, rights offerings and bond issues and provide efficient and diligent advice to listed companies and investors in relation to their compliance with stock exchange regulations (ongoing reporting obligations, ad hoc publicity, reporting of management transactions, corporate governance) and the disclosure of significant shareholdings.

Our practice also includes investment funds law as well as all other aspects of capital markets law and stock exchange regulations, including public takeovers, repurchases of shares in listed companies and repurchase programs, delistings, etc.

In addition, we assist you in related regulatory matters (such as FINMA approvals, membership to self-regulatory organizations) as well as compliance and enforcement matters (regulatory, criminal or internal investigations).