Alessandro Accrocca | Milan | Hogan Lovells

Alessandro Accrocca

Partner Corporate & Finance


English, Italian


Alessandro Accrocca
  • Overview
  • Experience
  • Credentials
  • Insights and events

Alessandro Accrocca is a rated Italian qualified lawyer with more than 25 years of experience in banking and finance law, gained through his broad career, which enables him to provide key strategic clients in Italy and Europe with high profile assistance on (i) debt and other capital markets transactions; (ii) general lending and all kind of facilities; (iii) corporate affairs for listing companies; (iv) derivatives; and (v) market abuse and management of price sensitive information.

In particular, Alessandro currently advises both borrowers and lenders, in bond and other structured products issues, standalone financings or syndicated loans, including all ESG related issues, as well as in securitizations and structured finance transactions, both on original financings or in restructurings of various debt positions. He also plays an instrumental role in helping the firm maintain its market leading position advising issuers/arrangers/investors in innovative “Mini-bond” products, i.e. debt instruments issued by small and medium companies.

In2005 - 2008, he worked as director in the Legal Group in London for UBS Limited, covering all legal matters connected with the business carried out by the bank in Italy. He is registered with the Financial Services Authority (FSA). 

He is member of the Editorial Board of the Center of European Law and Finance (CELF) and constantly gives lectures and collaborates with various post-graduation masters in Italy


  • Post Graduate Course, Markets and Financial Intermediaries Law, Università degli Studi di Roma "La Sapienza", 1999
  • Post Graduate Course, Consumer and Civil Liability Law, Università degli Studi di Roma "La Sapienza", 1998
  • J.D. in Law, Università degli Studi di Roma "La Sapienza", magna cum laude, 1997
Bar admissions and qualifications
  • Rome
  • Associate of the Securities & Investment Institute
  • Registered with the Financial Services Authority (FSA). Exams passed: Financial Regulations, Securities, Derivatives