Compliance hub
Listed Company Compliance
Cross-regulator compliance hub for listed entities managing recurring disclosure, governance, and filing obligations.
Core issue: Listed entities require repeatable workflow discipline to manage multi-regulator obligations without disclosure misses.
Use this hub to move between regulator updates, practical explainers, and related workflow areas without treating each circular as an isolated item.
Relevant CompliSense capabilities
These capabilities support the workflow areas described by this compliance hub.
Related regulator archives
Follow the source-specific archives connected to this hub for current circulars, notifications, and compliance updates.
What this hub covers
- Disclosure readiness
- Governance-linked compliance checks
- Filing and escalation workflows
Relevant for: Listed companies, Secretarial and compliance teams, Governance stakeholders
Suggested legal updates
These updates are relevance-based suggestions while editorial topic assignments are being curated.
Operational Guidelines for Handling of Clients' Unpaid Securities by Trading Members
BSE Limited, vide Notice No. 20260731-12 dated July 31, 2026, has announced an important update regarding Operational Guidelines for Handling of Clients' Unpaid Securities by Trading Members.
Operational guidelines on Handling of Client’s Unpaid Securities by Trading Members
National Stock Exchange of India Limited, vide Circular Ref. No. NSE/INSP/75508 dated July 31, 2026, has announced an important update regarding Operational Guidelines on Handling of Client’s Unpaid Securities by Trading Members.
‘Green-Channel: AIF Rollout Upon Document Acknowledgement’ (GARUDA) Mechanism for Processing of Placement Memorandum of Alternative Investment Funds (AIFs) filed with SEBI
Securities and Exchange Board of India (SEBI), vide Circular No. HO/19/19/11(2)2026-AFD-RAC2/I/17617/2026 dated July 30, 2026, has announced an important update regarding the ‘Green-Channel: AIF Rollout Upon Document Acknowledgement’ (GARUDA) mechanism for processing Placement Memorandum (PPM) of Alternative Investment Funds (AIFs).
Consultation Paper on Review and Rationalization of (Buy-Back of Securities) Regulations, 2018
Securities and Exchange Board of India, vide Consultation Paper dated May 08, 2026, has announced an important update regarding review and rationalization of SEBI (Buy-Back of Securities) Regulations, 2018.
Consultation Paper on Issuance of Depository Receipts against units of REITs and Publicly Listed InvITs
Securities and Exchange Board of India, vide Consultation Paper dated August 04, 2026, has announced an important update regarding the proposed regulatory framework for issuance of Depository Receipts (DRs) against units of REITs and publicly listed InvITs.
Extension of timelines with repect to compliance of Digital Accessibility Circulars
Securities and Exchange Board of India, vide Circular No. HO/(411)2026-ITD-5_DIV2/I/17922/2026 dated July 31, 2026, has announced an important update regarding Extension of timelines with respect to compliance of Digital Accessibility Circulars.
Guidelines in pursuance of amendment to SEBI KYC (Know Your Client) Registration Agency (KRA) Regulations, 2011
National Stock Exchange of India Limited, vide Circular No. NSE/ISC/75191 dated July 14, 2026, has announced an important update regarding Guidelines in pursuance of amendment to SEBI KYC (Know Your Client) Registration Agency (KRA) Regulations, 2011.
Norms for sharing and usage of price data for educational purposes
Securities and Exchange Board of India, vide Circular No. HO/47/17/12(11)2025-MRD-POD3/I/11107/2026 dated May 08, 2026, has announced an important update regarding norms for sharing and usage of price data for educational purposes.
Available Blog explainers
SEBI’s December 2025 LODR/RPT Shift: What Listed Companies Need to Re-check Internally
SEBI’s December 2025 RPT changes are not just threshold changes. Listed companies should re-check definitions, subsidiary transactions, carve-outs, Audit Committee papers, approvals, and disclosure workflows.
SEBI’s HVDLE / Debt-Listing Compliance Streamlining: What the Consultation Direction Suggests
SEBI’s HVDLE consultation suggests a more proportionate debt-listing compliance framework. Debt issuers, NBFCs, company secretaries, and CFO teams should watch what simplification may mean in practice.
FY 2026–27 Compliance Planning for Market Intermediaries: Why the Old Compliance Calendar Is No Longer Enough
Compliance Planning, FY 2026-27, SEBI, Stock Brokers, Depository Participants, AIF, Mutual Funds, Research Analysts, Investment Advisers, Regulatory Change Management, Compliance Calendar, Cybersecurity, Governance
XBRL and Integrated Filing Changes: What Listed Entities Need to Get Right
XBRL-based integrated financial filing is not just a format change. Listed entities need stronger filing discipline, cleaner data, tighter coordination, and fewer last-minute errors.
SEBI’s Insider-Trading Compliance Changes for Immediate Relatives: Why Internal Controls Need an Update
SEBI’s move to extend automated trading-window closure to immediate relatives makes insider-trading compliance more data-driven. Listed entities now need stronger declarations, awareness, and control discipline.
Depository and Exchange Cyber Reporting Requirements: Why VAPT Closure Evidence Now Matters More
Cyber reporting is moving beyond submitting VAPT reports. Market participants now need disciplined closure evidence, revalidation records, owner tracking, and correct report submission under CSCRF-linked expectations.