We advise issuers, arrangers and investors on the full spectrum of equity and debt offerings.
We also advise listed companies and market intermediaries on SEBI registration and regulatory compliance.
Our capital markets practice collaborates with the Firm’s regulatory, banking & finance, disputes, restructuring and other specialist practices to deliver commercially sound solutions.
We assist clients with :
Debt Capital Markets−
Our team advises issuers, arrangers and investors on the entire range of domestic and cross-border debt offerings, including non-convertible debentures (NCDs), medium-term note (MTN) programmes, rupee-denominated “masala” bonds, high-yield notes and foreign-currency convertible bonds (FCCBs).
Equity Capital Markets+
Our team advises advise issuers, selling shareholders and underwriters on IPOs, FPOs, rights issues, QIPs, offers for sale, ADR/GDR programmes, guiding them from pre-listing restructuring to post-listing compliance.
Takeovers, Buy-backs and Delistings+
Our lawyers guide companies and promoters through open offers, share buy-backs and voluntary or compulsory delistings under SEBI regulations.
Investigations & and Enforcement+
We represent corporates, promoters and intermediaries in insider-trading, market-manipulation and other enforcement actions before SEBI, Securities Appellate Tribunal (SAT) and other regulatory forums. We assist with written submissions to show-cause notices, represent clients at adjudication hearings, and negotiate administrative warning letters, consent orders or settlement terms to limit monetary penalties and trading bans.