Our ExpertiseBanking and Securities Litigation
Threats to financial institutions and securities firms come from within and without, home and abroad. We take on disputes including enforcement of security or creditor insolvency, cross border recovery, regulatory advice, antitrust issues, and misappropriation or misuse of customer information.
Our team represents international and domestic banks, financial institutions and securities firms, advising on both contentious and regulatory issues. Briefs encompass a broad spectrum of disputes, from enforcement to cross-border recovery, and from regulatory and competition advice to claims involving misappropriation and misuse of confidential customer information.
“The team is responsive, accurate, pragmatic, fast, transparent, and accessible with their legal advice, process management, stakeholder management and communications. Most of all, they were patient with us non-legal folks in explaining the complexities of the transactions to take place, in making their advice understandable to the layperson, and in always putting our best interests, as their clients, first.”
“Client-focused and responsive. It also puts in an effort to understand our business and strategic objectives.”
Clients speak of the team’s “exactness” coupled with a “flexible approach which means they are able to seize an opportunity.” Another source remarks: “They will not retreat or over-promise, so a client like us can recognise our position.”
“They provided excellent, timely and strategic service.”
“Acknowledged as a leading group for high-value trust disputes.”
“Very professional, prompt response to our questions and issues, English-Chinese bilingual verbal and written legal service.”