SECURITIES LAW & COMPLIANCES

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“Strategic Counsel in Capital Market Regulations.”

Our Firm is Widely Recognized for its Expertise in Securities Law, SEBI Act, and Regulatory Compliance Matters.

We Advise and Represent Clients before SEBI, Securities Appellate Tribunal (SAT), and Various High Courts, Assisting in both Litigation and PPreventive Advisory Work.

We Help Corporates, Intermediaries, and Investors Navigate the Complex Landscape of Capital Market Regulations, Insider Trading, Fraudulent Trade Practices, and Disclosure Obligations.

Our Expertise Includes:

- Representation in SEBI Investigations, Show-Cause Proceedings, and Penalty Appeals.

- Defense in SAT Appeals and Regulatory Enforcement Actions.

- Advisory on Insider Trading, Takeover Code, Listing Obligations, and Corporate Disclosures.

- Due Diligence and Compliance Audits under the SEBI Act and Related Regulations.

- Assistance in IPO Compliance, Merchant Banking, and Corporate Governance Issues.

C & C Law Chambers Combines deep Regulatory Insight with Strategic Foresight to Help Clients Achieve full Compliance and Minimize Legal Exposure in the Securities Market

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