is the head of Allen & Overy’s Hong Kong Regulatory practice. She acts for a wide range of national and international financial institutions, international and private banks, asset managers (including hedge fund and private equity managers and advisers), and investment and insurance companies. Her practice includes advising on setting up regulated businesses in Hong Kong, ongoing compliance with regulatory laws, codes and guidelines, and the impact of regulatory change. Her selected areas of expertise include licensing, product offering, regional and global cross-border issues, ESG, corporate governance, anti-money laundering and data privacy.
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