Capital Markets and Public M&A
Our Capital Markets and Public M&A team has a long and extensive experience in companies and investors – both strategically and tactically – on all types of capital market activities and related governance and compliance issues.
Our team has extensive experience from advising domestic and international clients, financial advisors, banks, companies, private and institutional investors in connection with all types of ECM and DCM transactions, public M&A and restructurings as well as related company law, corporate governance, regulatory, risk and compliance issues.
Our team has vast experience from corporate and investment banking and law firm practice of participating on both the buy and sell side, which gives us a solid platform to provide well-balanced and insightful advice to our clients. We always work closely with our clients, often in integrated project teams together with financial and other specialist advisors, and together with the client we establish the strategy for the transaction in relevant parts and identify, analyse and manage legal risks and opportunities in order to ensure an optimal result for the client.
Our team most often acts as lead counsel and project leader in transactions, but also frequently acts together with international law firms in cross-border transactions.
We take an active part in the important development of self-regulation in our markets, among other things through representation on the Swedish Securities Council, as well as in the broader legal developments in our markets.
Our advice includes, among other things:
- Stock exchange listings
- Rights issues
- Primary and secondary placements
- Underwriting consortiums and subscription undertakings
- Cornerstone and anchor investments
- Public tender offers
- Public mergers
- Demergers/spin-offs
- Company restructuring and capital structure in public environment, incentive programmes, etc.
- Corporate governance
- Management of agreements with stock exchanges and regulators
- Insider issues (all MAR related issues)
- General meetings and other corporate actions
- Compliance and risk management
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News
Wigge advised Vimab Group on the divestment of Vimab
Wigge acted as legal advisor to Vimab Group in connection with the sale of its wholly owned subsidiary Vimab to Grimaldi Industri. The purchase price…
Wigge has advised Qliro in connection with their rights issue
Wigge has advised Qliro in connection with their oversubscribed rights issue of approximately SEK 73 million. In light of the strong demand, the Board of…
Wigge has advised BlueYield AB in connection with its listing on Nordic SME
Wigge has advised BlueYield AB in connection with the listing of the company’s shares on Nordic SME. The trading in the company commenced on 18…
Wigge has advised Joint Global Coordinators and Joint Bookrunners in connection with Intea’s SEK 2.47 billion IPO
Wigge has advised Svenska Handelsbanken AB, Carnegie Investment Bank AB and ABG Sundal Collier AB as Joint Global Coordinators and Joint Bookrunners, on Intea Fastigheter…