is a member of BAHR’s asset management and private equity group, where he advises clients on financial regulatory matters as well as transactions involving regulated targets or counterparties (such as banks, insurers, payment institutions, investment firms and asset managers). His practice spans the entire spectrum of financial institutions’ business activities, and he regularly advises his clients on matters concerning marketing laws, contracts, personal data and confidentiality and reporting obligations. He is also experienced in advising on the application process and in consultation with Norwegian and multinational financial and other regulatory authorities.
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