Shivlal Maurya & Company

Capital Market Advisory & Compliance

Advisory and compliance for entities accessing Indian capital markets under SEBI and allied laws.

Our Capital Market services include

  • Advisory and compliance under SEBI (LODR) Regulations, 2015
  • Secretarial compliance for listed companies
  • Assistance in Initial Public Offerings (IPO), Follow-on Public Offers (FPO), Rights Issues, Preferential Issues, and Qualified Institutional Placements (QIP)
  • Due diligence, corporate restructuring, and issue management support
  • Drafting, vetting, and certification of offer documents, notices, and disclosures
  • Compliance relating to Takeover Code, Insider Trading Regulations, and SEBI ICDR Regulations
  • Certification and reporting requirements under applicable SEBI laws
  • Corporate governance advisory and best practices for listed entities – We adopt a practical, compliance-oriented, and solution-driven approach, ensuring timely and accurate adherence to statutory requirements while supporting our clients’ strategic objectives in the capital market ecosystem.

Our commitment lies in delivering professional excellence, regulatory integrity, and value-driven advisory, enabling businesses to meet their capital market obligations efficiently and sustainably.