Compliance Certificate Under Regulations 40(10) of SEBI LODR Regulations 2015 for the year ended 2026
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The company has filed a compliance certificate under Regulation 40(10) of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. This is a routine annual filing submitted by the Practicing Company Secretary certifying that all share transfer, transmission, sub-division, and consolidation requests received during the year were processed within the one-month timeline required by SEBI rules. The actual document content could not be retrieved from the BSE portal, which returned a redirect/error page instead of the filing details. No key financial figures, shareholder actions, or material disclosures are contained in this type of certificate.
This is a standard regulatory compliance submission with no material impact on the company's operations, financials, or stock price. Shareholders do not need to take any action — it simply confirms that share transfer activities were handled in line with SEBI norms during the financial year.