Banking and Financial Markets Law

The Firm operates with a high level of specialisation in financial markets law, assisting credit institutions, securities brokerage firms (SIMs), trust companies and asset management companies (SGRs) in structuring complex transactions involving acquisition finance, property finance and structured finance. The Firm’s practice covers the entire spectrum of capital markets, from the listing of companies on regulated markets to takeover and exchange offers, as well as the issuance of bonds and hybrid or structured financial instruments.

The Firm’s advisory services extend to the regulation of financial intermediation and collective investment schemes, with a particular focus on the establishment of open-ended and closed-ended investment funds and the regulation of investment services. The Firm supports its clients in managing relations with the Supervisory Authorities (CONSOB and the Bank of Italy) and in complying with provisions relating to off-premises sales, the centralised management of financial instruments and the organisation of financial adviser networks.

Thanks to a well-established international network, the Firm also ensures effective legal defence in disputes involving multiple jurisdictions.