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Finance ∙ Capital Markets
- Finance ∙ Capital Markets
- Financial Disputes ∙ Litigation
- Financial Consumer Protection Regulations
- Financial Compliance
- Financial Investment Companies
- Financial Company Examinations ∙ Sanctions
- Financial Company Licenses ∙ Permits
- Financial Company M&A
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- Specialized Credit Finance Companies ∙ Savings Banks
- Banks ∙ Financial Holding Companies
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Overview
Yoon & Yang’s market-leading, preeminent Finance Practice offers an extensive coverage of expert advices to all types of financial companies, including banks, financial holding companies, investment firms, insurance companies, structured credit finance companies, savings banks and trust companies.
Our Finance Practice counsels clients on a wide range of matters, including financial company M&As, IPOs and listing eligibility reviews, private equity, real estate financings and acquisitions, project financing, acquisition financings and derivative products, in addition to financial company examinations and sanctions, internal control and compliance, financial disputes and litigation, unfair trade investigations and accounting reviews, and financial company licenses/permits. Notably, it counsels clients in the rapidly growing areas of financial consumer protection regulations, anti-money laundering, and digital investment and fintech.
Our Finance Practice is well positioned to presents optimal solutions on the basis of its comprehensive understanding of relevant laws and regulations, the regulatory practices and policies of the financial supervisory authorities, and the rapidly changing finance industry, in addition to providing interpretative and implementation guidance. To provide clients with an integrated regulatory and enforcement counseling to navigate the challenges, our Finance Practice leverages its unparalleled understanding of the regulatory and enforcement practices and policies and a deep understanding of the industry and the related laws by developing new products and drawing on considerable value of newly recruited professionals with applicable knowledge and expertise.
Our Finance Practice counsels clients on a wide range of matters, including financial company M&As, IPOs and listing eligibility reviews, private equity, real estate financings and acquisitions, project financing, acquisition financings and derivative products, in addition to financial company examinations and sanctions, internal control and compliance, financial disputes and litigation, unfair trade investigations and accounting reviews, and financial company licenses/permits. Notably, it counsels clients in the rapidly growing areas of financial consumer protection regulations, anti-money laundering, and digital investment and fintech.
Our Finance Practice is well positioned to presents optimal solutions on the basis of its comprehensive understanding of relevant laws and regulations, the regulatory practices and policies of the financial supervisory authorities, and the rapidly changing finance industry, in addition to providing interpretative and implementation guidance. To provide clients with an integrated regulatory and enforcement counseling to navigate the challenges, our Finance Practice leverages its unparalleled understanding of the regulatory and enforcement practices and policies and a deep understanding of the industry and the related laws by developing new products and drawing on considerable value of newly recruited professionals with applicable knowledge and expertise.
Related Services
Financial Company Licenses ∙ Permits Financial Company Examinations ∙ Sanctions Financial Compliance Financial Disputes ∙ Litigation Financial Consumer Protection Regulations Financial Company M&A IPO ∙ Listing Eligibility Reviews Investment Funds Real Estate Financing ∙ Investing Project Financing Acquisition Financing Banks ∙ Financial Holding Companies Financial Investment Companies Insurance Specialized Credit Finance Companies ∙ Savings Banks Trusts Unfair Trade Investigation ∙ Accounting Audit Derivatives Anti-Money Laundering Digital Finance