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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 747 Views 3 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 600 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 672 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 621 Views 0 comment Print


Latest News


SEBI Invites Comments on REITs and InvITs Draft Amendments

SEBI : SEBI seeks public comments on proposed amendments to REITs and InvITs Master Circulars, including lock-in rules and follow-on offe...

February 20, 2025 39 Views 0 comment Print

SEBI Proposes Secure Trading Measures for Investors

SEBI : SEBI's consultation paper suggests SIM binding, biometric authentication, and trade controls to secure trading accounts. Public co...

February 20, 2025 138 Views 0 comment Print

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 186 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 159 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 171 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 516 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 1419 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 156 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 264 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 168 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 186 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 201 Views 0 comment Print


SEBI : Review of the working of Stock Exchanges

June 17, 1992 310 Views 0 comment Print

Please refer to the circular F.No.4/16/SE/19 dated August 19, 1991 on the above subject issued by the Stock Exchange Division, Ministry of Finance directing the Stock Exchanges to implement certain measures in the interest of long term growth of the Stock market and for ensuring investor protection.

SEBI : Monitoring and Inspection of brokers

May 29, 1992 538 Views 0 comment Print

You would be aware about the recent revelations about the alleged involvement of a few member brokers of the stock exchanges in the reported unauthorised practices adopted in the market for Government Securities which in turn enabled them to influence trading in and prices of shares in the stock exchanges.

SEBI : Status of implementation of decisions

September 10, 1991 343 Views 0 comment Print

Please refer to our letter dated February 4, 1991 enclosing a copy of directive issued by the Ministry of Finance F. No. 14/3/SE/85 dated November 14, 1985 regarding review of the existing system of Bye-laws and Regulations of Stock Exchanges relating to trading in securities and you were requested to ensure implementation of the instructions issued by the directive.

SEBI: Review of the working of Stock Exchanges

September 10, 1991 268 Views 0 comment Print

Please refer to directive F. No. 4/16/SE/91 dated August 19, 1991 issued by the Stock Exchange Division, Department of Economic Affairs, Ministry of Finance, advising all the Stock Exchanges to take certain measures in the interest of long-term growth of Stock market and for ensuring investor protection and send report on the implementation of the decisions conveyed therein to SEBI.

SEBI : Monthly development report

September 9, 1991 376 Views 0 comment Print

As you are aware SEBI has been, inter-alia, vested with the responsibilities relating to development and regulation of securities market and investor protection and advise Government on these matters. In order to perform these functions effectively, it is necessary that SEBI is kept apprised of various developments at the Stock Exchanges.

SEBI : Information in prescribed format

September 9, 1991 493 Views 0 comment Print

Please refer to our D.O. letter dated September 7, 1990 requesting you to send us information/data on the business done/major developments on the Stock Exchange on a daily basis in the format enclosed therewith. In this connection, it is observed that the information from several Stock Exchanges is not received on a regular basis and in some cases it is not in the prescribed format. The format for daily reporting has been simplified and a copy of the revised format is enclosed.

SEBI: Disclosure of clients and transaction details

February 4, 1991 490 Views 0 comment Print

Recently some stock brokers have been declared as defaulters by certain Stock Exchanges. The important among the reasons for this event as reported in the press were the default on the part of clients and/or over trading by clients and or brokers.

SEBI: Contract notes and brokerage

February 4, 1991 538 Views 0 comment Print

We invite your attention to the bye-laws and rules framed by the Stock Exchange under the Securities Contracts (Regulation) Act, and the Rules thereunder which require that the member-brokers of the Stock Exchange should issue contract notes to their clients for the securities sold and purchased by them on behalf of the clients.

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