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    Securities regulator extends digital accessibility deadlines through 2027, shifts adviser and analyst reporting to stock exchange
    Regulator clarifies Cybersecurity and Resilience Framework for regulated entities: exclusivity, equivalence, technical amendments, revised thresholds,...
    Regulator extends broker deadlines for auditor-certified half-year net worth certificates; deadlines set at 60 and 45 days
    Partner held jointly and severally liable for firm's unregistered advisory activity; directed to refund INR 2,23,404.10 or deposit under Section 28A
    Board finds Noticees A-D guilty of PFUTP violations, debarment and fines imposed; Noticee E exonerated
    Board orders interim impoundment, market ban and asset restraints for manipulative expiry trading violating Sec 12A(a)-(c) and PFUTP regs
    Securities regulator delays pledge/re-pledge margin implementation to October 10, 2025 for system development and testing
    Regulator exempts government-securities-only foreign portfolio investors from specified requirements in Regulation 4 and Regulation 22, subject to con...
    Noticees found guilty of manipulative trading under SEBI PFUTP rules, barred from market and Rs. 11.37 crore seized
    Ex Parte Order Set Aside for Unfair Trade Practices Due to No Show Cause Notice Under Article 14
    Stock Broker Found Minor SEBI Violations Under Intermediaries Regs, No Penalties Imposed After Corrective Actions
    Regulator Bans Transaction Charges to Mutual Fund Distributors for Investments Above Minimum Amount
    Revised rules ease sponsor lock-in and disclosure for private to public InvIT conversions under new framework
    SEBI updates Investment Advisers Regulations: Deposits must be lien-marked for dispute resolution under Regulation 8
    SEBI amends Regulation 8 requiring lien-marked deposits for research analysts to ensure payment of dues under dispute resolution
    Joint Annual Inspections Required for Multi-Registered Entities Under New Regulatory Rules by Dec 2025
    Stock Broker Penalized for Spoofing Under SEBI Act Sections 12A and 27 with Asset Freeze and Trading Ban
    MIIs Must Follow New Procedures for Penalty Appeals Under Governing Board SOPs Within 45 Days
    Securities Market Entities Must Ensure Digital Accessibility Under RPWD Act, Conduct Audits, and Report Annually
    Regulatory Authority Extends Deadlines for Nomination Circular Phase II and III to August and December 2025
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Acts Income Tax