Our firm stands out in securities-related services and advice, offering a unique approach backed by our extensive expertise in the capital market. Our services are designed to cater to a wide range of needs and include the following key areas:
Our unwavering commitment to ensuring the seamless registration of licensed individuals is a testament to our dedication to high standards. We meticulously prepare applications and forms, going the extra mile to meet and exceed the Capital Markets Authority’s stringent compliance requirements. This instills trust and confidence in our clients, who know that we are dedicated to upholding the highest standards of legal and ethical practices.
Guiding the establishment of joint stock companies following the provisions of the Companies Law and the Capital Markets Authority Law.
Engaging in the meticulous oversight and assessment of securities offerings, along with the drafting and reviewing of associated contracts.
Skillfully lodging complaints and grievances with the complaints and grievances committees at the Capital Markets Authority and the Committee for Considering Violations at the Securities Exchange.
We are not just legal representatives but staunch advocates for our clients. We stand by them, representing their interests before the Disciplinary Board of the Capital Markets and Mediation Authority to resolve disputes. Our dedication to our clients’ success is unwavering, and we are committed to fighting for their rights and best interests.
Equipping our clients with comprehensive financial restructuring training to adeptly manage their capital market operations’ legal and strategic facets ensures sustained success.