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    <title>Guidelines for dealing with Conflict of Interest for investment/ trading by CRAs, Access Persons and other employees</title>
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    <description>CRAs must adopt policies and procedures to manage conflicts of interest in investments and trading by CRAs, Access Persons and employees, prohibit misuse of price-sensitive information, require prior approval for Access Person transactions in securities of rated or graded entities, mandate initial and ongoing disclosures of holdings and transactions, require Rating Committee members to declare interests, prohibit ownership of issuer securities by employees involved in rating, and publish the adopted policies on the CRA website under SEBI&#039;s regulatory authority.</description>
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