
'Victoria Younghusband is simply outstanding; the breadth of her knowledge and instant command of the key issues is genuinely impressive.'
- LEGAL 500 2025 INVESTMENT FUND FORMATION AND MANAGEMENT – LISTED FUNDS
I am a corporate lawyer with over 40 years' experience, mostly in the City of London, but also in Hong Kong and have always worked with international clients, predominantly in North America, Europe and Australasia, and also in developing countries, most recently in Africa and the Caribbean but also China, India, and Vietnam. In recent years, my focus has been on investment management and regulation and financial services generally, I have also advised on mainstream capital markets issues, including transactions subject to the Takeover Code and disclosures required under the EU and UK Market Abuse Regulation.
I have always been passionate about good regulation, corporate governance and stewardship and have helped to influence policy both as a member of The Better Regulation Task Force and then (and continuing) as member of the Company Law Committee of the City of London Law Society. I am also a strong supporter of women.
I am very excited to be joining KEMP, having worked closely with Voon and Malcolm when with Stephenson Harwood in Hong Kong, but also because KEMP is a new and innovative law firm with huge energy and talent and colleagues with a diverse and very international background in the key commercial and cultural centres of EMEA and Asia.
Acting for parties to recommended and hostile rule 9 offers, on some occasions for the offeror and others the board of the target. Acting for the company and/or parties acting in concert on applications for rule 9 waivers. Advising and assisting on rule 8 disclosures.
I have acted for the issuer and occasionally for the sponsor or Nomad on IPOs on the Main Market and on AIM; on secondary issues requiring a prospectus, on tender offers and other ways of returning capital; and for the issuer and on occasion the sponsor on a move from AIM to the Main Market, involving the cancellation of the AIM admission and the publication of a prospectus.
Acting for closed and open-ended investment funds, listed and unlisted and structured as companies or limited partnerships from formation through to initial offerings, secondaries, capital returns, restructuring and winding-up, both for the fund itself, for directors, investors and advisers. I have acted for funds formed in all the major fund jurisdictions, including Bermuda; BVI; the Cayman Islands; Guernsey; Ireland; the Isle of Man; Jersey; Luxembourg, Mauritius and the UK and for investors in Singapore and Hong Kong domiciled funds.
I frequently advise on disclosure (and delayed disclosure) and no dealing obligations relating to inside information and on PDMR notifications under the UK Market Abuse Regulation; I also advise on perimeter issues around FCA regulated activities and whether an exemption may apply.
This website uses cookies or similar technologies, to enhance your browsing experience and provide personalized recommendations. By continuing to use our website, you agree to our Privacy Policy