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Tim Grave specialises in regulatory investigations, commercial dispute resolution and related advice across a wide range of matters, including Corporations Act matters, directors’ duties, commercial and contractual disputes, equitable claims, white-collar crime, competition law, sanctions advice, internal investigations and contentious enforcement matters. His experience includes acting for global banks, directors and officers of listed companies, and employees on regulatory investigations. Some recent examples of Tim’s experience include acting for the former chairman of an Australian listed entity in ongoing investigations by the Australian Securities and Investments Commission (ASIC) in relation to allegations of foreign bribery; for a director of a publicly listed company in an investigation by ASIC concerning allegations of insider trading; for a company director in a high-profile criminal prosecution for alleged conspiracy to commit insider trading offences; for the chief financial officer of an Australian listed entity in a corruption inquiry; for a global transport company on an internal investigation; for the chief executive officer and managing director of a Forex/contracts for difference provider in an ASIC investigation and related proceedings; and in multiple class actions.
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