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Banking & Securities Litigation

In today's complex and rapidly evolving financial markets, banking and finance securities litigation has become an increasingly important area of law. Our legal firm has extensive experience and expertise in this specialized field, enabling us to provide clients with comprehensive and practical solutions to their most pressing legal challenges. With a deep understanding of the financial industry and its regulatory environment, we are well-positioned to address our clients' unique needs, protecting their interests and helping them navigate the intricacies of the financial world.

Expertise in Banking and Finance Securities Litigation

Our team of dedicated lawyers has a wealth of experience handling cases related to banking and finance securities litigation. Our expertise encompasses a wide range of areas, including:

  1. Securities fraud and misrepresentation: We have successfully represented clients in cases involving misrepresentation and omission of material facts in connection with the purchase or sale of securities. Our team is skilled at identifying inconsistencies and inaccuracies in financial statements and prospectuses, enabling us to build strong cases on behalf of our clients.

  2. Insider trading: Our firm has a proven track record of successfully pursuing insider trading cases, holding individuals and entities accountable for their unlawful actions. We understand the complexities of these cases and work tirelessly to gather and analyse evidence to support our clients' claims.

  3. Market manipulation: We have represented clients in cases involving market manipulation, including price rigging and the spreading of false information. Our firm's extensive knowledge of financial markets and trading practices enables us to build robust cases that expose manipulative behaviour and protect our clients' interests.

  4. Derivatives litigation: Our lawyers have in-depth experience handling cases related to complex financial instruments such as swaps, options, and futures. We have successfully litigated claims involving interest rate swaps, credit default swaps, and other derivative products, helping our clients recover significant losses.

  5. Shareholder disputes: We are adept at representing clients in shareholder disputes, including claims of breach of fiduciary duty, shareholder oppression, and disputes over corporate governance. Our team works closely with clients to develop effective strategies for resolving these disputes, whether through negotiation, mediation, arbitration, or litigation.

  6. Regulatory enforcement and compliance: Our firm has a deep understanding of the regulatory landscape governing the financial industry, including the rules and regulations enforced by the Monetary Authority of Singapore (MAS) and the Singapore Exchange (SGX). We provide clients with guidance on compliance issues and vigorously defend them in regulatory enforcement actions.

Tailored Legal Solutions

Our legal firm is committed to providing tailored legal solutions to meet the specific needs of our clients. We understand that every case is unique, and we invest the time and resources necessary to gain a comprehensive understanding of our clients' objectives and concerns. This enables us to develop innovative and practical strategies that are designed to achieve the best possible outcomes for our clients.

Collaborative Approach

We believe that collaboration is key to providing effective legal representation. Our lawyers work closely with clients, as well as other professionals such as accountants, financial advisors, and industry experts, to develop a comprehensive understanding of the issues at hand. This collaborative approach enables us to develop creative and effective solutions that address our clients' concerns while minimising potential risks and liabilities.



Services for Banking and Securities Litigation

Securities fraud and misrepresentation
Insider trading
Market manipulation
Derivatives litigation
Shareholder disputes
Regulatory enforcement and compliance

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