Trading window closure under SEBI Insider Trading Regulations
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The company has announced the closure of its trading window for dealing in securities under SEBI Prohibition of Insider Trading Regulations 2015. This is a routine compliance measure typically observed ahead of financial results or material board announcements. During the closed period, insiders including directors, key managerial personnel and designated persons are prohibited from trading in company shares. The notice is procedural in nature and does not report any actual insider transactions.
Routine regulatory compliance notice. Restrictions apply to insiders only, not retail investors. May hint at upcoming results or material announcement.