- Arbitration
- Authorisation, supervision and compliance issues
- Banking litigation
- Bank resolution and recovery
- Capital adequacy
- Challenges to decisions by the FCA, the FOS, the SFO and the FSCS
- Client money
- Collective investment schemes
- Commodities
- Competition
- Complaints and redress
- Cross Border legal surveys
- Digital assets, cryptocurrencies, stablecoins, tokenisation and related projects
- Debt issuance
- Derivatives and Related markets (whether OTC and/or Exchange Traded) eg: , FX and swap transactions (including ISDA transactions), securities financing transactions including repos and stock lending transactions
- Disciplinary and enforcement proceedings
- ESG matters
- European and international legislation and guidance (including Basel III, CRD IV, CRD V, EMIR, EMIR REFIT, EMIR 2.2, MiFID II, AIFMD, UCITS V, MAR, MCBRRD, CSDR, PSD 2)
- Financial market infrastructure matters relating to recognised investment exchanges, clearing houses, MTFs other trading platforms and CSDs including LCH, Eurex, ICE, CME, LSE and Nasdaq
- Investigations (including S166 FSMA)
- Listing and prospectus rules, disclosure and transparency
- Loans, guarantees and security
- Market abuse and market manipulation
- Mediation
- Mis-selling of financial products
- Money laundering and financial crime
- Mortgages
- Offshore banking and financial services
- Payments, e-money
- Regulatory liaison (in particular, international regulatory liaison and working with overseas regulators on the development of legislation and regulatory standards)