Financial Markets / Securities Law
My depth of experience in financial markets and securities law means that I am well placed to assist you to respond to any FMA regulatory investigation or proceeding. I help clients deal with information requests (or search warrants), as well as attend interviews, and give you advice on how best to respond.
I can also provide pragmatic and strategic advice to private clients and corporates on licencing applications under the FMCA and related legislation.
I have strong grounding in financial markets law and practice:
I have acted as counsel for both New Zealand’s financial markets regulators (Securities Commission/FMA & NZX) in a number of primary and secondary market cases involving insider trading, market manipulation, and disclosure related breaches.
I was seconded to the role the FMA’s Acting Head of Enforcement at its inception.
I have taught Financial Markets Law at the University of Auckland Law School since 2012 and hold the Chartered Financial Analyst designation (CFA Program (cfainstitute.org)).