Neisha Mistry specialises in corporate and securities law. She has a focus on securities markets and other regulatory and stock exchange compliance, governance and general company compliance. Her experience includes assisting on takeovers (and responses to takeovers) and compliance with the Takeovers Code.

Neisha also advises on a broad range of financial services  law and regulation including in relation to financial advisers, insurers, fund managers, supervisors and issuers of other financial products.