Sammaan Capital Limited has informed the Exchange regarding 'Compliance Status of Regulation 6(1) and Regulation 7(1) of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, as amended, for the quarter ended September 30, 2025'.
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Sammaan Capital Limited has submitted a routine compliance filing to NSE confirming adherence to SEBI's Listing Obligations and Disclosure Requirements (LODR) Regulations for the quarter ended September 30, 2025. Regulation 6(1) requires every listed company to appoint a Compliance Officer, and Regulation 7(1) requires the appointment of a Share Transfer Agent to handle share-related work for investors. By submitting this filing, the company is confirming that both a Compliance Officer and a Share Transfer Agent are currently in place and functioning as required by law. This is a standard quarterly disclosure that all NSE-listed companies must file and is purely an administrative confirmation.
This is a routine regulatory compliance submission with no financial or operational implications for shareholders. Investors should not expect any change in stock price or business outlook based on this filing.