
Based on our experience in capital markets and financial instruments, we provide high-quality legal advice to clients in the financial sector, including financial institutions, investors, issuers and regulated entities. Our goal is to help clients navigate the complexities of financial regulation and ensure compliance with applicable law, maximizing financial opportunities within a secure and transparent legal framework.
The services we provide to our clients include assistance to listed entities and issuers of securities in complying with the regulations of financial supervisors, including the Financial Supervisory Authority (FSA) and European authorities, legal advice on the structure and regulation of IPOs, issues of bonds and other financial instruments, assistance in the drafting of the offering prospectus and in the process of authorization of the offering by the competent authorities, advice on the regulations applicable to financial instruments, including equities, bonds, derivatives and structured products, assistance in obtaining the necessary authorizations and compliance with the rules on trading and promotion.
We also provide effective solutions in terms of legal representation before the competent courts or authorities for the resolution of disputes related to financial transactions, market abuse, market manipulation or breach of financial regulations, as well as defense of clients' rights in cases of financial fraud and conflicts between parties involved in financial transactions.
From an international regulatory perspective we provide advice on cross-border aspects of financial markets, including European and international regulations on capital movements, foreign investors and complex financial instruments, legal advice to financial institutions managing investment funds, including compliance with specific regulations on the establishment, management and marketing of investment funds.
The services we provide to our clients include assistance to listed entities and issuers of securities in complying with the regulations of financial supervisors, including the Financial Supervisory Authority (FSA) and European authorities, legal advice on the structure and regulation of IPOs, issues of bonds and other financial instruments, assistance in the drafting of the offering prospectus and in the process of authorization of the offering by the competent authorities, advice on the regulations applicable to financial instruments, including equities, bonds, derivatives and structured products, assistance in obtaining the necessary authorizations and compliance with the rules on trading and promotion.
We also provide effective solutions in terms of legal representation before the competent courts or authorities for the resolution of disputes related to financial transactions, market abuse, market manipulation or breach of financial regulations, as well as defense of clients' rights in cases of financial fraud and conflicts between parties involved in financial transactions.
From an international regulatory perspective we provide advice on cross-border aspects of financial markets, including European and international regulations on capital movements, foreign investors and complex financial instruments, legal advice to financial institutions managing investment funds, including compliance with specific regulations on the establishment, management and marketing of investment funds.
Key services
- IPO & bond issuance support
- Compliance with ASF regulations
- Prospectus drafting
- Cross-border capital market consulting
- Conformity with the applicable legislation
Our attorneys

Ana-Maria Dorneanu
Founding Partner

Diana Chirvase
Founding Partner