UYFINCORPBSEU. Y. Fincorp LtdMinimalNeutral
Announced Thu, 29 May · 15:51 IST

Annual Secretarial Compliance Report as on 31.03.2025

UYFINCORP · price

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Price reaction · full curve

Awaiting price reaction for this filing.

AI summary

U. Y. Fincorp Ltd has submitted its Annual Secretarial Compliance Report for the financial year ended 31st March 2025, as required under Regulation 24A of SEBI's Listing Obligations and Disclosure Requirements (LODR) Regulations. The report was issued by M/s Prateek Kohli & Associates, Practicing Company Secretaries, after reviewing the company's compliance with SEBI regulations, circulars, and guidelines. The Practicing Company Secretary confirmed that the company complied with all applicable provisions during the review period. No qualifications, observations, or penalties were reported. Key areas reviewed included secretarial standards, policy adoption and updates, website disclosures, director qualifications, related party transactions, event disclosures under Regulation 30, and insider trading compliance under Regulations 3(5) and 3(6). The Structured Digital Database (SDD) compliance was also confirmed. No actions were taken by SEBI or stock exchanges against the company, its promoters, or directors during the period.

Likely market impact

This is a routine regulatory filing with no negative findings, indicating U.Y. Fincorp is in good standing with SEBI compliance requirements. Neutral to mildly positive impact on investor confidence as it reflects clean governance and no regulatory penalties during FY25.