Compliance Certificate under regulation 6(1) and 7(1) of SEBI LODR
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Arman Holdings Ltd has filed a compliance certificate with BSE confirming adherence to SEBI's Listing Obligations and Disclosure Requirements (LODR). Regulation 6(1) pertains to the appointment of a Compliance Officer, while Regulation 7(1) pertains to the appointment of a Share Transfer Agent. This is a routine regulatory submission demonstrating that the company has the required officials in place for investor grievance handling and share transfer activities. No changes in company operations, financials, or management are indicated by this filing.
This is a routine compliance filing with no material impact on the stock price or shareholders. It simply confirms the company meets basic SEBI listing requirements regarding key appointed personnel.