SEBI Compliance Advisory
Expert SEBI compliance advisory for listed companies, AIFs, investment bankers, and market intermediaries — covering the full spectrum of SEBI regulations.
SEBI Regulatory Services
AIF Registration & Compliance
SEBI registration for Category I, II, and III Alternative Investment Funds — application preparation, compliance programme design, and ongoing SEBI reporting.
LODR Compliance
Listing Obligations and Disclosure Requirements compliance for listed companies — quarterly financial results, board governance, related party disclosures, and continuous disclosure obligations.
Takeover Code Advisory
SEBI (Substantial Acquisition of Shares and Takeovers) Regulations advisory — trigger analysis, open offer obligations, PAC structuring, and takeover defence strategies.
Insider Trading Compliance
SEBI (Prohibition of Insider Trading) Regulations implementation — code of conduct drafting, trading window policies, UPSI designation framework, and employee training.
IPO Compliance Advisory
SME IPO and main board IPO compliance advisory — DRHP review, ICDR Regulations compliance, prospectus disclosures, and post-listing ongoing compliance setup.
SEBI Investigation Support
Representation and advisory support during SEBI examination, enforcement proceedings, adjudication proceedings, and appeal before SAT (Securities Appellate Tribunal).
SEBI Compliance — Common Questions
SEBI compliance advisory from specialists
Our team provides practical, commercially-aware SEBI compliance support for companies at every stage.
