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    Updated Master Circular for Stock Brokers Consolidates Guidelines and Rescinds Previous Circulars Under Regulatory Powers
    Securities Regulator Removes Notification and Custodial Code Rules for Non-Resident Derivative Investors Under New Position Limit Guidelines
    Regulator Extends Algorithmic Trading Safety Rules Deadline to October 1, 2025, Under Section 15A
    Asset Managers Must Monitor INR 10 Lakh Minimum Investment Daily Under New Compliance Rules
    Research Analyst Rules: Registration, Certification, Trading Restrictions, and Disclosure Requirements under SEBI Regulations
    Investment Adviser Suspended 6 Months for Violating IA Regulations 13(a), 13(b) and Code of Conduct Clauses
    Jurisdictional challenge to SCNs under PFUTP barred as delay tactics; issues to be decided together under Order XIV Rule 2(2)
    SEBI updates certification rules for associated persons under 2007 regulations, streamlining requirements and oversight
    Renewal of Clearing Corporation Recognition Under Securities Contracts Act for Three Years Starting July 2025 with Conditions
    Interest on SEBI Act Penalties Starts from Adjudication Order's Payment Deadline, Not Demand Notices
    HC upholds SEBI's RTI exemption under Section 8(1)(e), mandates strict third-party consultation under Section 11
    Promoters barred from trading and directorship for violating SEBI rules and Section 67 of Companies Act
    Consent deal ends fraudulent trading dispute under SEBI rules, allows market access after pay order and debarment completion
    Exemption granted from open offer under Takeover Regulations 4 & 5(1) for Acquirer Trusts with conditions
    SEBI opens six-month window for re-lodging rejected physical share transfers from July 2025
    Investment advisers penalized for unregistered activities through partnership firms while concealing facts during registration applications
    SEBI extends Cybersecurity Framework compliance deadline to August 31, 2025 for most regulated entities under Section 11(1)
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