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<h1>SEBI Regulation 27: Updated Corporate Governance Rules for Listed Entities Include Cybersecurity Reporting; Amended Timelines</h1> Regulation 27 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, outlines corporate governance obligations for listed entities with specified securities and non-convertible debt securities. Entities may optionally comply with requirements in Part E of Schedule II. They must submit a quarterly corporate governance compliance report to recognized stock exchanges, signed by the compliance officer or CEO. This report should include details of cybersecurity incidents or data breaches. Recent amendments updated submission timelines and omitted the requirement to disclose material transactions with related parties in the report.