I assist clients in matters regarding capital markets.
My work includes transactions, such as stock market listings, rights issues, public takeover bids and bond issues. In addition I assist companies on matters relating to compliance with capital market regulations. Prior to joining Setterwalls, I worked with capital market law at the Swedish Financial Supervisory Authority, focusing primarily on the prospectus and public takeover regulations. I was project leader for the implementation of the new prospectus regulation, which included writing regulatory code amendments, consultation responses and prospectus guides as well as participating in the international work related to prospectus regulation within the European Securities and Markets Authority (ESMA).