Compliance Report

SEBI vide its circular no. CIR/MRD/DSA/31/2013 dated September 30, 2013 and subsequent circular no. CIR/CFD/CMD/12/2015 dated November 30, 2015, have advised the Stock Exchanges to streamline the processes and procedures with regard to actions for non-compliances of certain listing conditions which can be considered for suspension and revocation of suspension of trading by the recognized Stock Exchanges.

Further, SEBI vide circular no. CIR/CFD/POLICYCELL/13/2013 dated November 18, 2013 issued a circular on "Compliance with the provisions of Equity Listing Agreement by listed companies – Monitoring by Stock Exchanges". The said circular requires the Exchanges to monitor the compliances filed by the listed companies and seek further information/ clarification in case of any deficiency observed in the information/ clarification provided by the Company.

Compliance Status :

Sr. No.

Compliance Reports

Dynamic

1 Query raised / Reply received from the companies
Yearly Status

Sr. No.

Compliance Reports

Period

1

Reg. 34 (Annual Report) – List of non-compliant companies