Stephen Wong is a Hong Kong qualified litigator and handles regulatory investigations and enforcement actions by the SFC (where he previously spent eight years working as an investigator and assistant to the Chairman), the Hong Kong Stock Exchange, Hong Kong Monetary Authorities, Commercial Crime Bureau and the Independent Commission Against Corruption (ICAC).

Stephen advises on all aspects of investigations and enforcement actions, including investigations relating to breach of Listing Rules, market misconduct and derivative civil proceedings and white collar crime investigations into senior executives.

Stephen advises listed companies and licensed corporations on compliance and regulatory matters, including acting for companies in their application for a license to carry out regulatory activities, advising on supervisory actions by regulatory bodies (including routine intermediary inspections by the SFC) and advising on compliance with Listing Rules, and Securities and Futures Ordinance and other relevant applicable laws and regulations. While his practice focusses on Hong Kong regulatory bodies, he also regularly acts for companies facing cross-border regulatory investigations or issues. His client base includes listed companies, their senior management and controlling shareholders. He also advises auditors, bankers and SFC license holders.

Stephen is listed in Asialaw 2018 as a leading practitioner in Litigation & Regulatory. He speaks and writes fluent English and Chinese.