Over 11 years, she has advised issuers, global/domestic investment banks and selling shareholders on initial public offerings, qualified institutions placements, rights issue, OFS/secondary trades on the stock exchanges, infrastructure investment trust offerings and high yield bond issuances.
She has extensive experience in corporate and securities advisory matters, including post-listing compliance guidance, covering listing regulations, takeover regulations, and insider trading requirements.
Experience listed below are that of the Partner before she joined the Firm
IPOs:
QIPs:
OFS/Secondary Trades: