The Exchange has sought clarification from Consolidated Finvest & Holdings Limited for the quarter ended 31-Dec-2025 with respect to Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. On basis of above the Company is required to clarify the following: -1. Financial results not signed by authorized signatory/ies. The response of the Company is awaited.
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The NSE has asked Consolidated Finvest & Holdings to clarify a compliance issue under SEBI's Listing Regulations for the quarter ending 31 December 2025. Specifically, the company's financial results were not signed by an authorized signatory, which is a basic requirement under Regulation 33 of the SEBI LODR rules. The company has not yet submitted its response to the exchange. Until it does, the matter remains pending and the exchange may take further action if the explanation is unsatisfactory.
This is a procedural compliance lapse rather than a financial or governance crisis, so the direct impact on shareholders is likely limited. However, repeated or unresolved clarifications can affect the company's listing standing and may dent short-term investor confidence.