We provide comprehensive legal consultancy services to financial institutions, investment banks, brokerage firms and issuers operating in national and international markets. Our services cover IPOs, Islamic financing, sukuk issuance, securities and regulatory issues in primary and secondary markets.
We provide legal consultancy on capital transactions, debt and capital-like transactions, and provide legal support for leading debt instrument issuances, equipment collateralized credit certificate issuances, issuances that are equity for banks and issuances of convertible bonds.
As Sargin Law Firm, we provide legal solutions to our clients' various capital offering issues both in Turkey and abroad, as well as dealing with compliance and governance issues. Our capital market lawyers provide consultancy services to issuers, investment funds, private equity funds and financial institutions in debt and equity markets and derivative markets, including secured and unsecured loan issuances, capital increases, foundations, public offerings and private placements. Our team provides services to issuers, insurance brokers, investors and other market participants in Turkey and internationally on high-yield bond issuances, public and private sector private equity offerings, bonds, convertibles and securitization issues.
We have a successful track record in ensuring the compliance of securities, capital market instruments, issuers and capital market institutions with capital market regulations, public disclosure, stock exchange listing and corporate governance issues, and have been supporting our clients in these areas for many years.
Our advisory services include reporting not only to companies, but also to their boards of directors and board committees, independent directors, financial advisors and independent auditors. We advise our clients on fiduciary duty questions, governance structures and issues related to certain transactions, compliance and the fiduciary duties and responsibilities of directors and officers.
Sargin Law's corporate governance practice includes advising companies, boards of directors, committees and individual directors, trustees and executive officers on a variety of corporate governance and strategy issues. We conduct periodic reviews, often in response to third-party or government requests, that include governance audits or internal investigations to assist boards and executives in fulfilling their duties.