SEBI Compliance
The firm takes care of following compliance and all other regulatory and statutory compliance with SEBI
- Pre IPO and Post IPO compliance's
- Drafting of various resolutions as and when required as per SEBI guidelines
- Inspection of Investor Companies
- Conducting of Board Meetings, EGM & AGM
- Dealing with Investor Complains/Grievances
- 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
- Filing of Audit report
- Scrutinized report for AGM held