Compliance certificate for period ended 31/03/2025
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Munoth Financial Services Ltd has submitted a compliance certificate to BSE under Regulation 40(9) of SEBI's Listing Obligations and Disclosure Requirements Regulations, 2015. The certificate, issued by Practicing Company Secretary Selvam N, covers the period from 1 April 2024 to 31 March 2025. It confirms that the company has complied with all applicable provisions of the Companies Act, 2013 and SEBI LODR Regulations regarding share-related activities such as transmission, transposition, dematerialisation, rematerialisation, and issuance of duplicate share certificates. The Registrar and Share Transfer Agent mentioned is Cameo Corporate Services Limited. This is a routine annual compliance filing with no financial numbers or business updates disclosed.
No direct impact on shareholders or stock price. This is a standard regulatory compliance submission confirming adherence to share transfer-related rules, reflecting good governance practices.