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  • 분야별
  • 가나다순
즐겨찾기메일프린트북마크북마크리스트    확대축소

A25_E

 The Financial Market Regulatory Enforcement practice group consists of experts in financial market regulation and enforcement and was established by Shin & Kim in anticipation of the growing demand for legal services relating to the regulation of the financial market and regulatory audits of financial institutions.

We provide advice relating to (i) investigations of capital markets transactions which are deemed unfair under applicable laws, such as market price manipulation, use of insider information and fraudulent transactions, (ii) regulatory disclosures such as securities reports and merger reports, (iii) account inspection procedures for the inspection target and the accounting firm, (iv) listed companies and delisting review procedures and (v) investigations of financial institutions by supervisory bodies and their supervisory duties.

Staffed with experts consisting of both lawyers and professionals with years of experience, many of whom served for years at the Financial Supervisory Service before joining Shin & Kim, we are ready and able to provide to clients in need of effective legal advice relating to financial market regulations and their enforcement, the top-quality legal services that have become associated with Shin & Kim.


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