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SEBI compliance
Regulatory Advisory

SEBI Compliance Advisory

Expert SEBI compliance advisory for listed companies, AIFs, investment bankers, and market intermediaries — covering the full spectrum of SEBI regulations.

🔒 Your information is 100% confidential

Avg. response time: under 2 hours

Service Areas

SEBI Regulatory Services

AIF Registration & Compliance

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

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

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

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

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

SEBI Investigation Support

Representation and advisory support during SEBI examination, enforcement proceedings, adjudication proceedings, and appeal before SAT (Securities Appellate Tribunal).

FAQ

SEBI Compliance — Common Questions

SEBI compliance advisory from specialists

Our team provides practical, commercially-aware SEBI compliance support for companies at every stage.