Corporate
Financial Regulation
The past few years have seen the development of a wide range of financial services and an increasingly complex regulatory environment. Our innovative financial services regulatory practice is made up of a multidisciplinary team of capital markets, corporate and compliance lawyers with extensive experience in advising clients on regulatory issues. Our role is to help clients navigate their way through the regulatory environment in order to comply with relevant regulatory requirements, reduce possible regulatory burdens (such as the provision of services to Accredited (Eligible) Investors and Qualified Clients), improve, develop and structure their businesses in more efficient ways and to exploit the commercial opportunities that are generated by changes in regulations and technology. We provide clients with a one-stop shop, combining deep legal and regulatory knowledge with practical industry experience to deliver practical and commercial solutions.
We advise and support senior management, compliance officers and teams as well as front line businesses to develop, enhance and embed their regulatory frameworks and control environments.
We also offer our clients a unique mix of policy, process and sectorial experience and often work with clients on new legislation matters, advising them throughout the entire legislative process, from initial objectives and drafting new laws and regulations to implementing measures and application.
Our team is closely involved with local regulatory reforms and has extensive experience working in the industry and with the local regulators, including the Israel Securities Authority, the Tel Aviv Stock Exchange, the Capital Market, Insurance and Saving Authority, the Bank of Israel and the Israel Innovation Authority. The fact that our team includes former staff attorneys in the Israel Securities Authority gives us real insight into how the regulators think and work, as well as how regulatory policy is formed, turned into legislation and then supervised.
Our areas of work include
- Asset and wealth management, Investment Banking and finance and Financial institutions.
- Global Investment funds (Mutual Funds, ETFs, Registered UCITS funds, Hedge Funds, Structured Products).
- Securities Issuers including Dual Listing, public offering, Private Placements and Initial Offerings (IPOs).
- Compliance and contractual procedures.
- FinTech and RegTech including Initial Coin Offering (ICOs, ITOs and Blockchain technology).
- Fixed income, currencies and commodities.
- Individual accountability, including senior management and corporate governance, change in control.
- Regulation and investigations, including broker dealer, consumer and mortgage, derivatives, payment services, prudential, regulatory risk, securities and compliance.
- Stock Exchanges, Clearing Houses and Custody.
- Trading Platforms and Broker-Dealers.
- Permits and Licenses.
Financial Regulation News & Insights
We want to thank you all for tackling the challenges of 2020 with us and hope that in 2021 we
Have a Happy and Healthy New Year 2021
The ISA proposes to expand the list of exchanges that make ETFs eligible for “Dual-Listing” on the Tel-Aviv-Stock Exchange The
Global Funds Regulation | Additional Exchanges for “Dual-Listing” of ETFs
Dear Friends and Clients, On November 5, 2020, the Ministry of Finance published for public comments a Memorandum of Law:
Draft Law for Regulation of Broker Dealer Activity in Israel
Issuance of draft exemption from the application of the Payment Services Law to payment instruments such as gift cards and
Payment Services Law – Draft Exemption Regulations
Financial Services Regulation| Extension of the Regulations regarding Exemption From Licensing requirements for the Provision of Credit and Financial Asset
Extension of the Regulations regarding Exemption From Licensing requirements for the Provision of Credit and Financial Asset Services
Special purpose acquisition companies (SPACs) continue to grow in popularity and insignificance in the United States. Despite the COVID-19 pandemic,
Going Public in the US by Merging into a SPAC: Weighing the Pros and Cons
PROPOSAL TO EXPAND SOURCES OF FUNDING FOR NON-BANK LENDING CORPORATIONS Dear Clients and colleagues, Israel’s Ministry of Finance has published a
Proposal To Expand Sources Of Funding For Non-Bank Lending Corporations
As you know, Israel continues its efforts to deal with the Corona Virus and contain it, to avoid its spreading
Handling the Corona Virus- Live Updates
Irit Roth
Partner
Banking & Finance, Banking Regulation, Corporate Finance, Derivatives & Structured Products, Financial Regulation, Insolvency & Restructuring, Mergers & Acquisitions
Liat Maidler
Partner
Banking & Finance, Capital Markets & Securities, Corporate, Financial Regulation
Neta Dorfman-Raviv
Partner
Banking & Finance, Banking Regulation, Financial Regulation, Insurance, Mergers & Acquisitions
Ayelet Regavim Kahanov
Partner
Banking & Finance, Capital Markets & Securities, Corporate, Financial Regulation
Eden Lang
Partner
Artificial Intelligence, Cyber & Data Security, Financial Regulation, Fintech, Crypto & Blockchain, Privacy & Data Protection, Social & Real Money Gaming, Technology Regulation, Telecom & Media, eCommerce, Media & Adtech
Ohad Graub
Partner
Capital Markets & Securities, Commercial, Corporate, Financial Regulation, Mergers & Acquisitions
Tom Waltner
Partner
Banking & Finance, Capital Markets & Securities, Corporate, Financial Regulation, Insurance
Aviv Amar
Associate
Banking & Finance, Capital Markets & Securities, Commercial, Corporate, Financial Regulation
Daniel Kaczelnik
Associate
Banking & Finance, Capital Markets & Securities, Corporate, Financial Regulation
Danielle Offer
Associate
Capital Markets & Securities, Corporate, Financial Regulation, Mergers & Acquisitions
Or Hoffer
Associate
Capital Markets & Securities, Corporate, Financial Regulation, Mergers & Acquisitions
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