Securities Law – Capital Market Regulations & Compliance
SEBI Compliance: Assisting companies in complying with SEBI regulations, including disclosure requirements, listing obligations, and corporate governance norms.
Insider Trading & Market Manipulation: Defending and advising clients on cases involving insider trading, price rigging, and unfair trade practices under SEBI (Prohibition of Insider Trading) Regulations.
Stock Market Compliance: Advising brokers, portfolio managers, and financial institutions on stock exchange norms, investment limits, and listing/delisting processes.
Investment Structuring: Structuring foreign portfolio investments (FPIs), venture capital investments, and private equity transactions within regulatory frameworks.
Financial Fraud Cases: Handling fraud investigations related to securities trading, misrepresentation in financial statements, and investor grievances.
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