SEBI Compliance

The firm takes care of following compliance and all other regulatory and statutory compliance with SEBI

  1. Pre IPO and Post IPO compliance's
  2. Drafting of various resolutions as and when required as per SEBI guidelines
  3. Inspection of Investor Companies
  4. Conducting of Board Meetings, EGM & AGM
  5. Dealing with Investor Complains/Grievances
  6. Complying various quarterly and monthly regulations of SEBI (LODR) Regulations 2015
    • Regulation 7(3)
    • Regulation 13(3)
    • Regulation 23(9)
    • Regulation 31
    • Regulation 55(A)
    • Regulation 74(5)
    • Regulation 40(10)
      Intimation of trading window closure
  7. Filing of Audit report
  8. Scrutinized report for AGM held
 
     
23144 Times Visited