“4. While the debt securities are secured to the tune of 100% of the principal and interest amount or as per the terms of offer document/ information Memorandum , in favour of Debenture Trustee, it is the duty of the Debenture Trustee to monitor that the security is maintained...
Sebi bars Mega Mould from fund raising via issue of securitiesPress Trust of India
SEBI governs the securities market in India. Regarding SEBI, Enterslice offers the following services Enterslice helps businesses ensure they follow SEBI rules and regulations. They aid companies in comprehending and putting SEBI laws, such as disclosure standards, corporate governance guidelines, and list...
IntroductionIn exercise of the powers conferred under the relevant provisions of the SEBI Act,1992 read with Section 31 of the Securities Contracts(Regulation)Act,1956,the above Regulations have been notified by SEBI on September 2, 2015 and shall be
The introduction of the CSCRF is a significant step taken SEBI, however, its effectiveness shall depend on its implementation. Regulated Entities have been provided with clear guidelines for to follow by SEBI, along with a timeline for compliance. Regulated Entities are required to submit r...
Speakingto Business Standard, a founder of a P2P firm noted that such a questionnaire on the companies’ operations had been sought for the first time, with platforms usually furnishing quarterly data submissions to the central bank. This follows the RBI’s issuance ofnew guidelinesin Aug...
unless the “sharing of such information is required for the orderly functioning of the securities market or for fulfilling regulatory requirements.” They stated that market price data can be shared with a lag of 1 day, without any incentive, only for the purpose of investor education and ...
Clause 19 of SEBI (IFSC) Guidelines, 2015 is being amended to read as follows: “19. The entities issuing and/or listing their debt securities in IFSC shall prepare their statement of accounts in accordance with IFRS/ US GAAP/ IND AS or accounting standa...
The term "Public" shall carry the same meaning as defined under Rule 2 of Securities Contracts (Regulation) Rules, 1957. c. The sanction of the Scheme by the High Court or any other Appropriate Authority under Sections 391-394 read with Sections 100-103 and other applicable provisions, if ...
2 Running Account Authorisation For operational convenience, if a client is dealing frequently and wishes to avoid exchange of funds and securities for every exchange/segment separately and on a daily/due date basis, this document may be signed by the client authorising broker to keep the account...