DR Law Associates frequently provides legal advisory services on various aspects including licensing, adjudicatory proceedings, performance regulations, etc. Having an interface with the law enforcement authorities we provide services on the regulatory side involving high-stake and complex matters. We represent people challenging the regulatory procedures or actions by the stock exchanges, IRDA or Insurance Regulatory and Development Authority of India, SEBI, or Securities Exchange Board of India.
We represent regulatory bodies such as BSE, AMFI, SEBI, NSDL, etc. before the Supreme Court. Our attorneys have represented many parties so far in regulatory concerns in several matters such as insider trading cases, Home Trade scam, IPO scam, P Notes and GDR issues, determination of negative control & veto rights, etc. We are often preferred by our clients for having intimate knowledge regarding regulations and regulatory bodies.

