We advise clients in connection with IPOs, share issues, transactions and bids, including drafting of prospectuses, information documents and offer documents. We further provide ongoing advice to our clients on regulatory and compliance matters, on disclosure obligations, takeover regulations, insider information requirements and insider trading, etc. Advice and assistance on this area requires in-depth knowledge of securities, stock exchange, company and financial law. The attorneys in our team have broad and detailed experience in all these fields.
The assistance we offer within capital markets spans the range from advice on regulatory matters to advice in connection with share issues, acquisitions and IPOs. We advise Norwegian and foreign companies, investment firms, financial institutions, investment funds, private equity funds and investors.