Our global financial services and regulation practice is structured around its core regulatory strengths – governance, conduct and markets.
We have a proven track record of advising a broad range of clients on complex and sensitive matters in the conduct space, both on the advisory and contentious side, many of which carry significant reputational risk. We represent both firms and individuals subject to regulatory investigation in relation to conduct matters. We regularly assist firms with their conduct risk frameworks, investor and consumer protection obligations, distribution and misselling risk, ESG issues, culture, and board and workforce diversity and inclusion.
This resource hub has been designed to help you manage and respond to this evolving area, with a range of updates, training, videos and other insights from our team of lawyers and risk consultants.

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Contacts

Global Head of Financial Services
Global Director of Financial Services Knowledge, Innovation and Product
Head of White Collar Defense and Investigations, United States
Partner
Partner
Partner, Canadian Head of Financial Services and Regulation
Partner
Partner
Asia Head of FinTech and Financial Services Regulatory; Partner
Director

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