Onelife Capital Advisors Limited has informed the Exchange regarding 'Disclosure Under Regulation 36(1) (B) Of SEBI LODR, 2015'.
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Onelife Capital Advisors Limited has submitted a disclosure to the stock exchange as required under Regulation 36(1)(B) of the SEBI Listing Obligations and Disclosure Requirements (LODR) Regulations, 2015. This regulation requires listed companies to include detailed information in the notice sent to shareholders for the Annual General Meeting (AGM), covering the resume, expertise, other directorships, and shareholding of directors whose appointment or re-appointment is proposed. The filing is a routine compliance step tied to an upcoming AGM, rather than a new strategic action.
This is a routine regulatory disclosure with no material impact on shareholders or the stock price. It confirms the company is meeting its listing compliance obligations ahead of its AGM.