Meet the team
Securities, Regulatory and Disciplinary Matters
Haldanes, Solicitors and Notaries
Hong Kong, Hong Kong
Organigram
Team Services
Haldanes has a wealth of experience handling financial regulatory investigations and proceedings opened by the Securities and Futures Commission (SFC), the Stock Exchange of Hong Kong (SEHK), the Hong Kong Monetary Authority (HKMA), and the Takeovers and Mergers Panel.
These range from insider dealing, market misconduct, securities fraud, disclosure of interests, whitewash waiver, and disciplinary matters relating to the Securities & Futures Ordinance, the Listing Rules, and the Code on Takeovers and Mergers and Share Buy-backs.
We also have extensive experience advising leading financial institutions, listed companies, directors and senior management, intermediaries, and professionals on Notice for Interview, Notice to Produce Documents and Records, and Search Warrants issued by these authorities.
Our legal team has represented institutions and professionals in disciplinary proceedings taken out by regulatory bodies and professional councils like the Medical Council of Hong Kong, the Chinese Medical Council of Hong Kong, the Law Society of Hong Kong, the Estate Agents Authority, the Insurance Agents Registration Board, the Hong Kong Confederation of Insurance Brokers and the Association of Chartered Certified Accountants in the U.K.