Enabling growth through seamless capital market solutions

C&M’s capital markets and securities law practice is designed to guide companies through some of their most important and resource-intensive milestones: raising capital and navigating complex securities regulation. We understand the demands that fund-raising transactions place on issuers and work to minimise disruption to daily operations, allowing clients to focus on running and growing their businesses.

Our team acts as an extension of our clients’ own teams, shouldering responsibilities and adapting our role to suit each company’s structure and style of operation. We advise on the full range of securities transactions, including initial public offerings, qualified institutional placements, rights offerings, follow-on public offers, and block trades.

We have significant experience with infrastructure and real estate trusts (InvITs and REITs) and frequently advise listed and unlisted companies, as well as SEBI-registered intermediaries, on regulatory matters such as open offers, buy-backs, FPI compliance, and insider trading. Our practice also supports unlisted companies with preparatory steps ahead of public offerings and continues to guide them post-listing with ongoing compliance.

 

about us

Client perspectives

“The team focuses on every aspect of a transaction with thoroughness and intensity, ensuring continuity and long-term resolution.”

– Client feedback