Practice Areas
Federico Vezzani focuses on banking and insurance regulation, advising Italian and foreign banks, insurance companies, financial intermediaries, securities firms, asset management companies and payment institutions on a wide range of aspects, including the organisation of regulated entities (corporate governance and prudential issues) and the exercise of reserved activities.
Throughout his career, he has gained extensive experience in regulatory and prudential supervisory matters, including the establishment of supervised entities, initiation of new operations, outsourcing of essential functions, capital strengthening transactions through the issuance of equity, hybrid, subordinated and convertible instruments, liability management transactions, such as offers to purchase or exchange liabilities, and debt raising activities, through stand-alone issues or from domestic or international programs.
His experience also includes the supervision of extraordinary transactions carried out by listed issuers, the listing of warrants and convertible bonds, and the supervision of governance models adopted by listed issuers.
Career
Partner Federico Vezzani entered the Firm in 2024.
Previously he was Partner of the Regulatory department in BonelliErede for almost 10 years.
He has also worked as Senior Associate at Cappelli RCCD Studio Legale (2009 - 2014) and Clifford Chance (2008 - 2009).
He also gained experience in the Listed Companies Supervision Department at Borsa Italiana from 2004 to 2008.