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Securities / Derivatives
SEBI Proposes Measures to Reduce Equity Derivatives Volatility
By Ranamita Chakraborty | 23/05/2023
SEBI is seeking comments on proposed measures to strengthen the existing price band formulation for derivative-linked shares.

Capital / Liquidity
SEBI Seeks Uniform Total Expense Ratio for Mutual Funds
By Ranamita Chakraborty | 23/05/2023
SEBI’s proposed measures aim to increase transparency regarding the costs borne by mutual fund investors.

SEBI to Streamline Registration Process for Foreign VC Investors
By Sanday Chongo Kabange | 23/05/2023
SEBI is proposing to delegate the registration of foreign venture capital investors and related due diligence to designated depository participants.

Securities / Derivatives
SEBI Introduces New Risk Disclosure Rules for Equity Derivatives
By Editors | 22/05/2023
The new rules are a response to findings that that 9 out of 10 individual traders in the equity F&O segment experience net losses.

Securities / Derivatives
SEBI Consults on Corporate Governance Enhancements for AIFs
By Mark Johnston | 20/05/2023
SEBI proposes amendments to borrowing, leverage, custody and tenure rules for AIFs.

Securities / Derivatives
SEBI to Allow Direct Client Participation in Tri-party Repo Segment
By Mark Johnston | 20/05/2023
SEBI proposes to allow NBFCs, insurance companies, and mutual funds to directly participate in the tri-party repo segment of the corporate bond market.

Securities / Derivatives
SEBI to Tweak Definitiion of ‘Unpublished Price Sensitive Information’
By Editors | 19/05/2023
SEBI’s amendments aim to improve transparency in the capital market and ensure timely and accurate disclosure of material events or information by listed entities.

Securities / Derivatives
SEBI Proposes New Rules to Tackle Suspicious Trading Activities
By Mark Johnston | 18/05/2023
The new framework would address the challenges posed by new-age technologies such as encrypted or vanishing messages.

AML / KYC
Indian Authorities Investigating Three ‘Top Brokers’ – Reports
By Editors | 16/05/2023
Three top brokers, who were not named, were found to be engaged in “large-scale money laundering activities” with the involvement of PEPs.

Enforcement
SEBI Penalises Four Former Officials of Karvy Stock Broking
By Mark Johnston | 12/05/2023
SEBI fined the four individuals a combined INR 19 million over Karvy Stock Broking’s misappropriation of client assets in 2019.
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