Stock exchanges, clearing corporations, and depositories are required to conduct a comprehensive cyber audit at least twice each financial year.
May 24, 2022The margin requirements calculated for derivatives will be based on the fixed beginning-of-day margin parameters.
May 14, 2022Stock exchanges must certify that their trading architecture and co-location facilities conform with regulatory requirements and treat all market participants fairly and equitably.
May 9, 2022SEBI said AMFI has sought additional time for the implementation of directions that prohibit intermediaries from pooling investor money for mutual fund transactions.
April 9, 2022Norms prohibiting the use of one-time mandates to accept payments for mutual fund transactions have been eased.
March 24, 2022The implementation timeline for the new framework on client collateral segregation and monitoring has been extended to 2 May 2022.
March 7, 2022SEBI proposes to progressively raise the net worth requirements for trading members, clearing members and depository participants by October 2023.
October 3, 2021ASIFMA, Asia TraderForum and The Investment Association have issued an open letter on behalf of FPIs asking SEBI to delay implementation of T+1 settlement.
September 30, 2021The revised position limits apply to domestic clients, NRIs, and Category II FPIs that are individuals, family offices, and corporates.
September 13, 2021Stock exchanges may choose to offer T+1 settlement on any scrip, after providing the market advance notice of at least one month.
September 8, 2021