I specialized in IPO transactions, compliance, and corporate governance, playing a key role in successful listings on the Hong Kong Stock Exchange. I led strategic projects, advising on over 50 transactions, including major mergers, acquisitions, and stock resumptions.
In 2021, I earned the Type 6 Responsible Officer (RO) license from the Securities and Futures Commission of Hong Kong, certifying my authority to advise on corporate finance and oversee regulated activities with a commitment to compliance and integrity.