At NYK Law Firm, we pride ourselves on our extensive expertise in the field of Capital Markets, serving a diverse range of clients including investment banks, financial institutions, established corporations, and emerging startups. Our dedicated teams in Equity Capital Markets, Debt Markets, Investment Trusts, and Securities Regulation and Enforcement bring deep industry knowledge and legal acumen, positioning us as leaders in navigating complex capital market transactions and regulatory landscapes
Debt Markets
Our Debt Markets Practice Group is renowned for its expertise in overseas bond offerings, non-convertible debentures (NCDs), private placements, and restructuring of Foreign Currency Convertible Bonds (FCCBs). We are trusted advisors to investment banks, financial institutions, and large corporates, providing comprehensive guidance across complex structured finance deals and regulatory compliance.
Equity Capital Markets
At NYK Law Firm, our Equity Capital Markets team excels in handling a broad spectrum of transactions such as initial public offerings (IPOs), follow-on public offers (FPOs), qualified institutions placements (QIPs), and offers for sale (OFS) via stock exchange mechanisms. We provide strategic counsel and execute transactions for both established corporations and emerging startups, navigating the complexities of each deal with innovative and solution-oriented approaches.
Investment Trusts
Our Investment Trusts Practice is adept at managing infrastructure investment trusts (InvITs) and real estate investment trusts (REITs), assisting clients from formation to operational management. We focus on regulatory compliance, fund operations, corporate governance, and transactional support, ensuring that our clients navigate this dynamic field with confidence and strategic advantage.
Securities Regulation and Enforcement
We offer robust counsel on compliance, corporate governance, and enforcement defence. We assist clients with regulatory examinations, internal investigations, and litigation, ensuring adherence to securities laws and effective management of enforcement actions. Our team provides comprehensive solutions to safeguard interests and maintain regulatory compliance for issuers, financial institutions, and other stakeholders