Learn about our services in the Stock Market
Stock Market Services
We offer comprehensive advisory services to issuers, securities intermediaries, institutional investors, and other participants in the securities market , ensuring compliance with legal and regulatory obligations before the National Banking and Securities Commission (CNBV) , the Mexican Stock Exchange (BMV) , BIVA , INDEVAL , and other financial authorities. Our team supports the issuance, placement, and registration of securities , as well as the preparation and structuring of offering prospectuses , supplements, subscription agreements, placement agreements, and corporate documents necessary for the authorization and disclosure of transactions in accordance with the Securities Market Law (LMV) .
We conduct legal due diligence on stock market transactions, mergers and acquisitions of issuers, corporate debt placements, structuring of securities, primary and secondary public offerings (IPOs), as well as the purchase and sale of shares on regulated markets or international trading systems. Our analysis includes regulatory, tax, financial, labor, and contractual risks, enabling transparent and efficient transactions aligned with corporate governance standards , including OECD practices and criteria for the disclosure of relevant information and corporate events.
We assist clients with business integration processes , corporate reorganizations, structured securities issuances, mergers of issuing companies, spin-offs, hostile or friendly acquisitions, and voluntary or mandatory delisting processes. We ensure that each transaction complies with current regulations, including the filing of ongoing and occasional information, and we propose legal strategies that optimize the value of transactions and reduce regulatory contingencies.
In the event of disputes, sanctions, inspections, or supervisory proceedings , we represent our clients before financial authorities and courts, preparing effective defense strategies against proceedings initiated by the CNBV (National Banking and Securities Commission), challenges related to information disclosure, market manipulation, insider trading, or non-compliance with corporate governance obligations. Our approach seeks to protect the reputation, economic stability, and operational continuity of issuers and intermediaries.
We advise on the negotiation of investment contracts , shareholder agreements, shareholder pacts, structuring of private equity funds (including CKDs and CERPIs), protection mechanisms for minority and majority shareholders , as well as the establishment of special rights, anti-dilution clauses, and transparency policies. We strive to ensure a balance between legal certainty, operational efficiency, and strategic business objectives .
We implement corporate compliance programs linked to the securities market, including internal information disclosure policies, conduct manuals for issuers, controls on the prevention of money laundering (AML/CFT) , corporate governance schemes, risk management, corporate integrity and alignment with international standards such as IOSCO and best practices of global markets.
Our goal is to strengthen investor confidence, ensure sustainability and certainty in operations, and support the growth of companies and stock market participants in local and international environments, in a safe, strategic manner and in accordance with current regulations.
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