Capital Market

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At Indian Law Company (ILC), we proudly stand as a leading authority in capital markets law, offering a comprehensive suite of services facilitated by our dedicated team. Specializing in both equity and debt capital markets, our experienced professionals at ILC, provide expert guidance on various financial instruments.

Detailed Information: Our Capital Market Legal Services in India cover a spectrum of transactions, including but not limited to initial public offerings (IPOs), private placements, preferential issues, foreign currency convertible bonds, and overseas listings of global depository receipts. Our top Capital Markets Lawyers in India boast significant experience in handling intricate business trust and real estate investment trust transactions both domestically and internationally.

Our Services

  1. Guidance On Complex Cartel Investigations:
  2. Expert Support In Cross-Border Cartel Investigations.
  3. Innovative Issues In Technology And Emerging Markets:
  4. Strategic Advice On Competition Law Matters In Technology And Emerging Markets.
  5. Indian Merger Clearances In Multi-Jurisdictional Projects:
  6. Managing Intricate Merger Control Projects With A Focus On Indian Clearances.
  7. Deal Structuring For Financial Sponsors And Private Equity:
  8. Optimization Of Deal Structuring For Financial Sponsors, Private Equity, And Minority Investors.
  9. Commercial Strategies And Business Models:
  10. Support And Recommendations On Commercial Strategies And Business Models To Ensure Compliance.

Key Highlights

  • Successful defense against allegations of cartel and abuse of dominance.
  • Extensive experience in handling complex merger control cases, including Phase II investigations.
  • Proven track record in managing complex investigations, high-stakes litigation, and large transactions across diverse sectors.
  • Active participation in industry events and contributions to reputed journals on Indian competition law and policy.
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Related capabilities

FAQS

SEBI is the main regulatory body for securities markets in India. It oversees the issuance and trading of securities, ensuring compliance with relevant laws and regulations.

Key regulations include the Securities and Exchange Board of India Act, 1992, Securities Contracts (Regulation) Act, 1956, and Companies Act, 2013.

Recent developments include SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, and SEBI (Prohibition of Insider Trading) Regulations, 2015.

Penalties may include fines, disgorgement of profits, registration suspension or cancellation, and criminal prosecution, varying based on the nature and extent of non-compliance.

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