with a primary focus on IPO sponsoring, corporate advisory and underwriting/placing activities. We pay particular attention to companies with growth potential and foresight, support them by providing confidence in their plans for the possible evolutions of their businesses. We aspire to give them more insight regarding possible scenarios according to their defined objectives.
We are licensed by the Securities and Futures Commission to carry out the regulated activities of dealing in securities (Type 1) and advising on corporate finance (Type 6).
Grand Moore’s professionals are experienced in advising clients on IPO and related pre-listing advisory matters in Hong Kong. Acting as a listing sponsor, we have the all-important mission to liaise with the regulatory authorities on behalf of our clients. We assist by providing advice on the restructuring, valuation, due diligence, and market-scaling of any IPO-related operations, whether in the form of placement with institutional investors or an offer to the public at large.
and transactions related to the Codes on Takeovers and Mergers and Share Buy-backs and the Listing Rules (Type 6). We are also licensed to carry out the regulated activities of dealing in securities (Type 1).
At Grand Moore, we work with clients to devise winning strategies on M&A transactions. Our one-stop service includes seamless advisory on the entire transaction process, from due diligence and transaction to execution and integration. Engaging our comprehensive knowledge in corporate finance and compliance, we customize thoughtful solutions to accomplish the intended strategic, business and finance objectives.
Impartiality and prudentiality are requisite when practising the role of independent financial adviser. We examine details of transactions and provide unbiased opinions and recommendations to shareholders and board committees. We observe stringent professional standards and abide by integrity when reviewing the fairness, reasonableness, and completeness of any assumptions or projections relevant to the transactions.
Compliance has become an ever-increasing minefield. We assist companies in complying with Listing Rules according to their continuous responsibilities required by The Stock Exchange of Hong Kong. We perform our duties and responsibilities with due care to ensure that our listed clients are properly guided and advised regarding compliance with the relevant laws, rules, codes, and guidelines.
We have established close working relationships and connections with institutions and brokerage firms in Hong Kong, the PRC and overseas. This advantage enables us to offer a wide array of financial solutions to satisfy the liquidity requirements of our clients.