The increasing sophistication of structured finance products and the consequent widening of the sphere of the supervisory authorities on the activities of institutional operators have prompted Raylaw to consolidate specific skills for the management of the multiple regulatory and supervisory compliance issues that currently characterize the financial markets.

Raylaw offers a multidisciplinary consultancy to its clients that includes the entire discipline in the field of listed companies, provision of service and investment activities, discipline of regulated markets, supervision of banks and other intermediaries in the security market, supervision of the insurance and reinsurance sector, with specific competences concerning the regulations and interpretative guideline of the competent Community and national authorities (including Consob, Bank of Italy, IVASS) and management companies of OICRs (UCITS and AIFs).