Service Details
Capital Market Advisory & Compliance
Advisory and compliance for entities accessing Indian capital markets under SEBI and allied laws.
Our Capital Market services include
- Advisory and compliance under SEBI (LODR) Regulations, 2015
- Secretarial compliance for listed companies
- Assistance in Initial Public Offerings (IPO), Follow-on Public Offers (FPO), Rights Issues, Preferential Issues, and Qualified Institutional Placements (QIP)
- Due diligence, corporate restructuring, and issue management support
- Drafting, vetting, and certification of offer documents, notices, and disclosures
- Compliance relating to Takeover Code, Insider Trading Regulations, and SEBI ICDR Regulations
- Certification and reporting requirements under applicable SEBI laws
- Corporate governance advisory and best practices for listed entities – We adopt a practical, compliance-oriented, and solution-driven approach, ensuring timely and accurate adherence to statutory requirements while supporting our clients’ strategic objectives in the capital market ecosystem.