IPO, SEBI compliance, AIF, mutual fund, listing under SEBI Regulations
Capital markets practice covering IPO + SME-IPO advisory, SEBI compliance (LODR Regulations 2015, ICDR Regulations 2018), AIF registration (Category I/II/III), mutual fund licensing, portfolio manager registration, rights issues, QIP, takeover code compliance (SAST 2011), and SEBI investigations. All work references SEBI Act 1992, Securities Contracts Act 1956, Depositories Act 1996.
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SEBI License (Stock Broker / AIF / Mutual Fund / Portfolio Manager / Investment Adviser / Research Analyst / Merchant Banker / FPI / Deposit...
View ServiceIPO LISTING SERVICES — most complex capital markets transaction under SEBI Act 1992 + Companies Act 2013 (S.23-32) + SCRA 1956 + SEBI (ICDR)...
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