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Latest Articles


A One-Stop Solution to Track & Reclaim Forgotten Mutual Fund Investments

SEBI : SEBI launches MITRA platform to help investors track inactive mutual fund investments and update KYC details, improving transparen...

February 18, 2025 438 Views 2 comments Print

Non-Compliance with Accounting Standards & LODR Rules

SEBI : Failure to comply with accounting standards may violate LODR regulations, affecting financial transparency, director accountabilit...

February 11, 2025 588 Views 0 comment Print

SEBI’s LODR Amendments 2024: Compliance Boost or Added Complexity?

SEBI : SEBI’s LODR Amendments 2024 introduce key changes in compliance, RPTs, and governance. Are they simplifying processes or adding ...

February 3, 2025 852 Views 0 comment Print

Common Grounds for Rejection of DRHP – Measures to avoid them

SEBI : Learn the common reasons for DRHP rejection, including incomplete disclosures and non-compliance, and practical measures to naviga...

January 30, 2025 663 Views 0 comment Print

Revised Market Capitalisation Compliance – SEBI LODR 2024

SEBI : Understand compliance requirements for listed companies under SEBI LODR 2015, including ESG, BRSR Core, and market cap-based oblig...

January 29, 2025 615 Views 0 comment Print


Latest News


SEBI Proposes Tech Measures to Secure Trading Accounts

SEBI : SEBI introduces measures like SIM binding and biometric authentication to secure trading accounts and prevent unauthorized transac...

February 18, 2025 129 Views 0 comment Print

SEBI Proposes Standard NOC Format for Charge Holders

SEBI : SEBI seeks public comments on a standard No-Objection Certificate (NOC) format for charge holders in debt securities. Submit feedb...

February 16, 2025 132 Views 0 comment Print

SEBI Seeks Public Comments on REITs and InvITs Disclosure Rules

SEBI : SEBI proposes changes to disclosure norms for REITs and InvITs. Public comments are invited until March 7, 2025. Submit feedback v...

February 14, 2025 153 Views 0 comment Print

SEBI Seeks Public Comments on ESG Rating Rules Update

SEBI : SEBI invites public comments on strengthening ESG Rating Providers. Feedback can be submitted online by March 6, 2025. Read the co...

February 13, 2025 114 Views 0 comment Print

SEBI Proposes Changes to Margin obligations by way of Pledge/Re-pledge

SEBI : SEBI drafts new rules for margin pledges to prevent misuse of client securities and seeks public comments by March 4, 2025....

February 13, 2025 207 Views 0 comment Print


Latest Judiciary


SEBI Charges Directors of Gujarat Arth Ltd with Fraud

SEBI : SEBI prosecutes directors of Gujarat Arth Ltd for market manipulation and fraudulent trading under SEBI Act....

November 27, 2024 255 Views 0 comment Print

NSE lacks statutory authority to block issue of duplicate certificates: Bombay HC

SEBI : Since 1986 to 1997, Petitioner acquired shares, in tranches, of Respondent No.4-Company. The Petitioner subsequently sold some of ...

November 25, 2024 291 Views 0 comment Print

HC directed SEBI, BSE and NSE to compensate Rs. 50 Lakhs for illegal freezing of Demat account

SEBI : In the instant case, assessee was a senior citizen and a medical practitioner, had his Demat accounts frozen by the National Secur...

September 3, 2024 513 Views 0 comment Print

Listed Entity Compliances under SEBI (LODR), 2018

SEBI : Explore the disclosure and compliance requirements for listed entities under SEBI regulations, including quarterly, half-yearly, a...

May 21, 2024 1416 Views 0 comment Print

Analysis of SEBI Vs. Abhijit Rajan (Supreme Court of India)

SEBI : Supreme Court's landmark ruling in SEBI v. Abhijit Ranjan clarifies insider trading laws, emphasizing the importance of profit mot...

March 10, 2024 4137 Views 0 comment Print


Latest Notifications


SEBI Notification on Research Analyst Certification Renewal

SEBI : SEBI mandates research analysts to renew certifications by passing NISM-Series-XV-B exam, effective from March 1, 2025, as per new...

February 17, 2025 120 Views 0 comment Print

SEBI (Mutual Funds) (Amendment) Regulations, 2025

SEBI : SEBI amends the Mutual Fund Regulations, 2025, including new rules for employee investment, stress testing, and fund deployment, e...

February 17, 2025 216 Views 0 comment Print

SEBI Issues Guidelines for Research Analysts’ MITC

SEBI : SEBI mandates standardized Most Important Terms and Conditions (MITC) for Research Analysts, ensuring transparency in research ser...

February 17, 2025 132 Views 0 comment Print

SEBI Issues Guidelines for Investment Advisers’ MITC

SEBI : SEBI mandates standardized Most Important Terms and Conditions (MITC) for Investment Advisers, ensuring transparency in advisory a...

February 17, 2025 168 Views 0 comment Print

SEBI (Procedure for making, amending & reviewing of Regulations), 2025

SEBI : SEBI introduces new regulations mandating public consultation and stakeholder engagement in rule-making to enhance transparency in...

February 17, 2025 150 Views 0 comment Print


SEBI : Effective Year of Submission of Cash Flow Statement

July 11, 1995 601 Views 0 comment Print

With reference to our letter no.SMD-I(N)/JJ/2331/95 dated June 26, 1995, it has been decided that the requirement of submitting Cash Flow Statement by the companies along with the Annual Report is to be made effective for the accounts prepared by the companies from the financial year 1995-96.

SEBI : Fixing of record dates relating to rights issues

July 5, 1995 232 Views 0 comment Print

If the terms of offer of the rights issue are subsequently changed, it will be the lead manager’s responsibility to compensate the buyers or sellers in the market.

SEBI : Right not accompanied by public issues- no vetting

June 6, 1995 376 Views 0 comment Print

Amendments to Regulations of your exchange would be required to give effect to these new guidelines. Therefore, you are requested to make necessary amendments in your regulations and confirm the compliance thereof by June 21, 1995. Please send a copy of the amended regulations for our record.

SEBI : Inter-linking of exchanges through e-mail facility

May 3, 1995 301 Views 0 comment Print

In order to ensure timely and proper dissemination of price sensitive information, company news and to improve co-ordination between exchanges, so as to bring uniformity in decisions regarding trading restrictions/permissions,

SEBI : Severance of connections with other businesses

April 27, 1995 319 Views 0 comment Print

It is observed that corporate applicants recently being admitted into various Stock Exchanges are engaged in businesses other than securities business like ICDs, leasing, hire purchase and bill discounting due to which SEBI is not in a position to consider their registration.

SEBI : RBTI(G I Series) Circular No. 1 (95-96)

April 21, 1995 436 Views 0 comment Print

All bankers to an issue are hereby advised to submit quarterly reports for each quarter of the year and annual report for each financial year in respect of their activities as per formats enclosed. The quarterly report must be submitted within 3 weeks of the last day of the quarter and the annual report must be submitted within 2 months of the close of the financial year.

SEBI : Common members in the Appellate body and the Committees

March 28, 1995 283 Views 0 comment Print

In some cases the aggrieved party has a right of appeal to the Governing Board/Council of Management against the decision of the Committee.

SEBI : Clarification for rights issue

March 16, 1995 394 Views 0 comment Print

With reference to sub-clause (C) of Clause 24 as mentioned in our above letter, it is clarified that SEBI Directive no. C.III dated August 13, 1992 is operative.

SEBI : Reporting of spot and off-the-floor transactions.

March 14, 1995 670 Views 0 comment Print

The exchange is advised to inform us about the steps taken in this regard not later than April 10, 1995. The exchanges must also send a report to SEBI indicating the trading floor volumes and off-exchanges volumes separately.

SEBI : Appointment of Compliance officer

March 1, 1995 4114 Views 0 comment Print

SEBI is examining the question of appointing a Compliance Officer for each stock exchange whose function would be to ensure that violations of stock exchange rules and regulations do not remain undetected or unreported.

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