Capital Markets & Corporate Finance

Print

Grandall is one of the foremost leading authorities in assisting PRC and foreign clients in the area of Capital Markets and Corporate Finance. Many of our lawyers were instrumental in the formulation of the current securities laws. To date, Grandall has acted for more than 100 PRC enterprises on raising capital by stock and bond issuance and/or through restructuring. In addition, with Grandall’s key assistance, more than half of these firms raised money by successfully listing abroad on foreign exchanges including, but not limited to, NYSE, NASDAQ, AIM - London, HKEX – (Hong Kong), SE (Singapore), Japan Osaka Securities Exchange and the Kuala Lumpur Stock Exchange.

Grandall’s experienced securities attorneys are able to effectively assist clients on the following securities matters:

•    Company Listing and Stock Issuance - Reorganization of enterprise and preparation for listing; drafting and preparing all documentation for the issuance and listing of A shares (including IPOs and Refinancing) and B Shares within China, and listing on overseas exchanges (Hong Kong, Singapore and the United States)

•    Asset and Corporate Restructuring of Listed Companies

•    Convertible Bonds and Shares - Handle all aspects of the issuance, listing, transfer and redemption of bonds, notes, commercial papers, etc

•    Dispute Resolution - Representation of issuers in litigation and alternative dispute resolution in all aspects related to securities and futures transactions

•    Issuance and Listings of Various Securities - Issuance of Enterprise Short-term Financing Certificates, Private Placements in China or aboard, Subordinate Debt, and Listing of Securities Investment Funds

•    Corporate Governance and Internal Investigation - Advising board of directors and officers regarding the most up-to-date corporate governance issues, reporting requirements, and other regulatory requirements including the U.S. Foreign Corrupt Practice Act (through working with our US  strategic alliance partnership law firms)

•    U.S. Securities Laws Compliance – Through working with our US strategic alliance partnership law firms, advise board of directors and officers regarding the most up-to-date compliance issues, preparation and filing of annual, quarterly, and current reports under the Securities Exchange Act of 1934, and assist issuers in initial and secondary public offerings under the Securities Act of 1933.