International securities offerings and listings are complex and require innovative solutions in increasingly competitive markets for capital.
Tapping public markets brings increasingly complex regulatory, reporting and compliance demands for companies needing a broader pool of capital. Meeting the challenge, head office advisory members of our market-leading capital markets team assists a broad range of clients, including large-listed companies, newly public companies and businesses preparing to float, to manage their securities' regulatory and corporate governance obligations, respond to emerging trends and adopt best practice as a public company.
Drawing on our 26-office network we operate across the key global markets, acting for domestic and foreign companies and for clients in virtually all industry sectors. Our work includes:
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Responding to regulator comment letters on securities offering documents, registration statements and annual reports
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Commenting on proposed rules of relevant securities regulators
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Participating in working groups regarding regulatory reform initiatives
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Advising on corporate governance compliance matters (including in the US under the Sarbanes-Oxley Act)
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Negotiating and drafting for approval requests for securities regulatory derogations and no action relief
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Drafting confidential treatment requests and dealing with related matters.
Given our deep resource and heritage in key finance hubs in Europe, the US and Asia Pacific, including Australia, we have a particular record in providing issuers with co-ordinated cross-border support on the laws of different jurisdictions. Our securities team also regularly works with our dedicated corporate governance lawyers to guide listed and privately-held companies on domestic and international corporate laws and governance frameworks on a multijurisdictional basis, including with respect to ESG matters.