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Financial Institutions Regulation
Financial Transactions
The Financial Institutions Litigation & Regulation Practice, in coordination with other Jones Day transactional practices, handles the full range of financial institution transactional work.
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Financial Products Litigation
Because our lawyers understand the complexities of regulated and unregulated securities and bank products, we are well-positioned and experienced at representing financial institution clients when these products are involved in litigation.
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Financial Institutions Regulation
We help large globally active financial service firms, as well as smaller, domestically-focused companies, anticipate and manage the ways that changing legal and regulatory standards affect their business opportunities, operational costs, and risk exposure.
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We help large globally active financial service firms, as well as smaller, domestically-focused companies, anticipate and manage the ways that changing legal and regulatory standards affect their business opportunities, operational costs, and risk exposure.
Financial institutions around the world rely on us to advise them on emerging legal proposals and trends, regulatory compliance, potential enforcement proceedings, legislative initiatives, and other areas of strategic risk.
Jones Day’s cross-border capabilities and our integrated practice approach enable us to provide creative and comprehensive solutions to the complex problems of multinational transactions. We help clients assess new ventures and structure and expand their operations to maximize business opportunities, while minimizing legal, regulatory, and reputation risk.
Our global capabilities enable us to facilitate in multiple jurisdictions regulatory approvals of mergers, divestitures, and asset acquisitions. We are also positioned to defend in multiple jurisdictions any litigation that may arise from such transactions.
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