Foreword
The last year has clearly been a turbulent one, and this has been reflected in the market conditions in the CEE region and more widely. The Russian invasion of Ukraine and its implications for the energy markets, as well as rising inflation, ongoing trade tensions, and the general slowdown of global economic activity, have had a profound impact on all major equity and debt markets over the course of the last year, with market participants facing tight and volatile financing conditions and a rising cost of funds.
Contributed by Schoenherr.
Contributed by Tsvetkova Bebov and Partners, a member of Eversheds Sutherland.
Contributed by Deloitte Legal.
Contributed by KCG Partners.
Contributed by Cobalt.
Contributed by Walless.
Contributed by ACI Partners.
Contributed by SK Legal Stokłosa & Kot.
Contributed by Karanovic & Partners.
Contributed by Majernik & Mihalikova.
Contributed by Jadek & Pensa.
Contributed by Kolcuoglu Demirkan Kocakli.
Contributed by Slaughter and May.
Contributed by Integrites.