Nism X Taxmanns Securities Intermediaries Compliance Non Fund Compendium Of Important Regulations For The Compliance Officers Working With Various Intermediaries In The Securities Markets PDF Download

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NISM X Taxmann's Securities Intermediaries Compliance (Non-Fund) – Compendium of Important Regulations for the Compliance Officers working with various Intermediaries in the Securities Markets

NISM X Taxmann's Securities Intermediaries Compliance (Non-Fund) – Compendium of Important Regulations for the Compliance Officers working with various Intermediaries in the Securities Markets
Author: NISM (An Educational Initiative of SEBI)
Publisher: Taxmann Publications Private Limited
Total Pages: 23
Release: 2024-01-31
Genre: Law
ISBN: 9357785779

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This book is a comprehensive guide covering all significant regulations pertinent to the securities markets, encompassing the SEBI Act, SCRA, SCRR, PMLA, Insider Trading, FUTP, and more. It seeks to create a common minimum knowledge benchmark for persons engaged in the compliance function with any intermediary registered with SEBI, such as: • Stock Broker • Depository Participant • Merchant Bankers • Underwriters • Bankers to the Issue • Debenture Trustee • Credit Rating Agencies This book is an invaluable resource for anyone involved in the compliance sector of the securities markets, offering in-depth knowledge and a comprehensive overview of the regulatory landscape. The Present Publication is the January 2023 workbook version, published exclusively by Taxmann for NISM Certification Examination III-A [Securities Intermediaries Compliance (Non-Fund)]. This book is divided into two parts: • [Financial and Regulatory Structure in India] is dealt with in Part A • [Specific Rules & Regulations] governing the intermediaries registered with SEBI are dealt with in Part B The noteworthy features of this book are as follows: • [Understand the Financial Structure in India] including: o Knowledge of the Financial Intermediaries o Types of Products available in the Indian markets • [Understand the Regulatory Framework] and the role of various Regulators in the Financial System • [Importance of Compliance Activity] and the scope and role of Compliance Officers • [Understand the various Rules & Regulations] of the Indian Securities Market • [Understand the Penal Actions] that are initiated in case of default or failure The detailed contents of the book are as follows: • Part A – Understanding Financial Structure in India o Introduction to the Financial System – Explores the essential elements of the financial system, including financial intermediaries, securities, and their roles o Regulatory Framework | General View – Discusses the overall regulatory system governing the financial markets in India, including the role of financial market regulators, other financial agencies, appellate authorities, the legislative framework, and the International Financial Services Centre (IFSC) o Introduction to Compliance – Covers the basics of compliance, specifically focusing on compliance requirements under the SEBI (CAPSM) Regulations, 2007 o Securities and Exchange Board of India Act, 1992 – Details the salient features of the SEBI Act, 1992 o Securities Contracts Regulation – Examines the Securities Contracts (Regulation) Act, 1956, and the Securities Contracts (Regulation) Rules, 1957 o SEBI (Intermediaries) Regulations, 2008 – Provides insights into the general obligations of intermediaries, inspection and disciplinary proceedings, actions in case of default, and the code of conduct o SEBI (Prohibition of Insider Trading) Regulations, 2015 – Focuses on insider trading regulations, including the role of the compliance officer and the code of conduct o Prevention of Fraudulent and Unfair Trade Practices – Discusses regulations related to preventing fraudulent and unfair practices in the securities market and includes topics on investigation methods o Prevention of Money Laundering Act, 2002 – Highlights the main points of the PMLA, 2002, and SEBI's circular on Anti-Money Laundering/Counter Financing of Terrorism (AML/CFT) o SEBI (KYC Registration Agency) Regulations, 2011 – Discusses the registration and obligations of KYC Registration Agencies (KRAs), including guidelines for intermediaries and in-person verification • Part B – Understanding Intermediary-Specific Regulations o SEBI (Foreign Portfolio Investors) Regulations, 2019 – Details regulations pertaining to foreign portfolio investors, including eligibility criteria, investment conditions, and code of conduct o SEBI (Stock Brokers) Regulations, 1992 – Covers various aspects of stock brokerage regulations, including direct market access, algorithmic trading, margin trading, and underwriting activities o SEBI (Merchant Bankers) Regulations, 1992 – Focuses on merchant banking regulations, substantial acquisition of shares, and takeovers o SEBI (Issue of Capital and Disclosure Requirements) Regulations, 2018 – Discusses the applicability of ICDR regulations, IPOs, rights issues, and the roles and responsibilities of merchant bankers o Depositories Act, 1996 – Covers the introduction, rights and obligations of depositories, enquiry and inspection procedures, and miscellaneous issues o SEBI (Depositories and Participants) Regulations, 2018 – Details registration, rights, obligations, and the code of conduct for depository participants o SEBI (Registrar to an Issue and Share Transfer Agents) Regulations, 1993 – Focuses on the roles, general obligations, and code of conduct for registrars to an issue and share transfer agents o SEBI (Research Analyst) Regulations, 2014 – Highlights the responsibilities, record maintenance, and role of the compliance officer for research analysts o SEBI (Investment Advisers) Regulations, 2013 – Discusses the general responsibilities, risk profiling, client-level segregation, and code of conduct for investment advisers o SEBI (Debenture Trustees) Regulations, 1993 – Details registration, responsibilities, code of conduct, and monitoring requirements for debenture trustees o SEBI (Credit Rating Agencies) Regulations, 1999 – Covers the registration, general obligations, appointment of compliance officers, and code of conduct for credit rating agencies o SEBI (Custodian) Regulations, 1996 – Discusses custodian services, registration, obligations, and the code of conduct for custodians. o Proxy Advisors – Provides an overview of the impact of proxy advisors on corporate governance, internal controls, procedural guidelines, and grievance redressal mechanisms


NISM X Taxmann's Investment Adviser (Level 1) – Encompassing a comprehensive guide investment advisory & related services – equity, debt, derivatives, mutual funds, and portfolio management services

NISM X Taxmann's Investment Adviser (Level 1) – Encompassing a comprehensive guide investment advisory & related services – equity, debt, derivatives, mutual funds, and portfolio management services
Author: NISM (An Educational Initiative of SEBI)
Publisher: Taxmann Publications Private Limited
Total Pages: 26
Release: 2023-12-21
Genre: Education
ISBN: 9357787666

Download NISM X Taxmann's Investment Adviser (Level 1) – Encompassing a comprehensive guide investment advisory & related services – equity, debt, derivatives, mutual funds, and portfolio management services Book in PDF, ePub and Kindle

This book aims to create a common minimum knowledge benchmark for all individual investment advisers or principal officers of a non-individual investment adviser and persons associated with investment advice under SEBI (Investment Advisers) Regulations, 2013 and offering investment advisory services. This book covers all important topics to enhance the quality of investment advisory and related services in the financial services industry. It covers topics related to the following: • [Know the Basics] of the following: o Personal Financial Planning o Time Value of Money o Evaluating the Financial Position of Clients o Debt Management & Loans • [Understand the Indian Markets] for Finance and Securities segments. • [Get Oriented to Different Investment Products] such as: o Equity o Debt o Derivatives o Managed Portfolios such as mutual funds, portfolio management services and alternative investment funds • [Knowledge] about the portfolio construction, performance monitoring and evaluation • [Understand] about the operational aspects of investment management, key regulations, ethical issues of investment advisers and grievance redressal system The Present Publication is the August 2023 workbook version, published exclusively by Taxmann for NISM Certification Examination X-A | Investment Adviser (Level 1), with the following contents: • Personal Financial Planning o Introduction to Personal Financial Planning o Time Value of Money o Evaluating the Financial Position of Clients o Debt Management and Loans • Indian Financial Markets o Introduction to the Indian Financial Markets o Securities Market Segments • Investment Products o Introduction to Investment o Investing in Stocks o Investing in Fixed Income Securities o Understanding Derivatives • Investment Through Managed Portfolios o Mutual Funds o Portfolio Manager o Overview of Alternative Investment Funds (AIFs) • Portfolio Construction, Performance Monitoring and Evaluation o Introduction to Modern Portfolio Theory o Portfolio Construction Process o Portfolio Performance Measurement and Evaluation • Operations, Regulatory Environment, Compliance and Ethics o Operational Aspects of Investment Management o Key Regulations o Ethical Issues o Grievance Redress Mechanism


NISM X Taxmann's Securities Operations and Risk Management – Covering all important aspects related to the stock broker operations, starting from the client onboarding to the trade life cycle

NISM X Taxmann's Securities Operations and Risk Management – Covering all important aspects related to the stock broker operations, starting from the client onboarding to the trade life cycle
Author: NISM (An Educational Initiative of SEBI)
Publisher: Taxmann Publications Private Limited
Total Pages: 19
Release: 2024-03-04
Genre: Law
ISBN: 9357785566

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This comprehensive book offers an in-depth analysis of the operational facets of stock brokerage, catering to individuals keen on mastering broker operations and risk management within the securities markets. It is structured to enhance understanding through a detailed examination of various critical areas, such as: • Client Onboarding • Trade Life Cycle • Compliance Requirements Related to Report Submission • Redressal of Investor Grievances Upon completing this book, readers will gain a foundational understanding of the Indian securities market, including its products, participants, and the roles they play. The book aims to establish a minimum knowledge benchmark for associated persons of registered stock brokers, trading members, and clearing members, focusing on managing assets or funds, investor grievance redressal, internal control, risk management, and operational risk aspects. The Present Publication is the January 2024 workbook version, published exclusively by Taxmann for NISM Certification Examination VII [Securities Operations and Risk Management], with the following noteworthy features: • [Know] the following in detail: o Basics of the Indian Securities Market – Explores the basics of securities, the money market, products traded in the Indian securities market, and the concept of International Financial Services Centres (IFSC) o Market Participants – Details the roles of investors, issuers, the market structure, participants, and regulators in the securities market o Securities Trade Life Cycle – Offers insights into front office, middle office, and back office operations, outlining their functions and significance • [Understanding] of the following: o Clearing Process – Explains the role of clearing corporations, clearing banks, clearing members, custodians, depositories, and the clearing process itself o Settlement Process – Covers the determination of settlement obligations, settlement of funds and securities, auction of securities, and corporate actions adjustment o Risk Management – Discusses risk management strategies, compliance, regulatory reporting, and the Core Settlement Guarantee Fund o Investor Grievances and Arbitration – Focuses on investor grievance mechanisms, online dispute resolution, and investor protection funds o Other Services Provided by Brokers – Explores IPO applications, trading of mutual fund units, portfolio management service, research reports, depository services, margin trading, and internet-based trading technologies The contents of the book are as follows: • Introduction to the Securities Market o Overview of the securities market o Insights into the money market o Exploration of products traded in the Indian securities market o Discussion on International Financial Services Centres (IFSC) • Market Participants in the Securities Market o Detailed introduction to different market participants o Roles and perspectives of investors and issuers o Overview of market structure and key participants o An in-depth look at regulators in the securities market • Introduction to the Securities Broking Operations o Detailed stages of the securities trade life cycle o Examination of front office, middle office, and back office operations • Risk Management o A comprehensive exploration of risk management strategies and practices o Discussion on compliances and regulatory reporting o Insight into the Core Settlement Guarantee Fund • Clearing Process o Introduction to the clearing process o Roles and functions of the Clearing Corporation, clearing banks, clearing members, custodians, depositories, and depository participants o Detailed explanation of the clearing process • Settlement Process o Overview of the Settlement process in securities trading o Determination and settlement of obligations, both in funds and securities o Procedures for auction and corporate actions adjustment • Investor Grievances and Arbitration o Introduction to investor grievances and arbitration mechanisms o Online resolution of disputes in the Indian securities market o Overview of the Investor Protection Fund • Other Services Provided by Brokers o Range of services offered by brokers, including IPO applications, trading of mutual fund units, and portfolio management services o Discussion on research reports, depository services, margin trading, and internet-based trading technologies


Guide to Broker-dealer Compliance

Guide to Broker-dealer Compliance
Author: United States. Securities and Exchange Commission. Broker-Dealer Model Compliance Program Advisory Committee
Publisher:
Total Pages: 318
Release: 1974
Genre: Securities
ISBN:

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Investment Adviser's Legal and Compliance Guide

Investment Adviser's Legal and Compliance Guide
Author: Terrance J. O'Malley
Publisher: Wolters Kluwer
Total Pages: 1060
Release: 2013-01-01
Genre: Law
ISBN: 1454838493

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Investment Adviser's Legal and Compliance Guide, Second Edition is an invaluable guide written to assist attorneys and investment advisers in both drafting their compliance policies and procedures and reviewing them annually. In addition, the book serves as a practical tool for experienced attorneys and compliance officers for fulfilling their changing responsibilities under new rules adopted under the Investment Advisers Act of 1940, as well as new staff interpretations and guidance. For the Second Edition, the original author, Terrance J. Oand’Malley, is joined by John H. Walsh. While both authors are seasoned practitioners and acknowledged experts in the area of investment adviser compliance matters, Mr. Walshand’s years of experience, including at the SEC, are reflected in the enhanced practical discussion of relevant legal and compliance issues, including increased numbers of compliance tips, enforcement and regulatory alerts, and compliance tools. Investment Adviser's Legal and Compliance Guide, Second Edition covers in detail such topics as: Filings and amendments that an adviser must make to maintain its SEC registration Major rules and requirements dealing with marketing and attracting new clients Issues arising in connection with the management of private funds The SEC's examination process New clients, and the management of client accounts. The book also covers requirements relating to the adviser's obligation to its customers, including preventing insider trading and other trading abuses, as well as an adviser's recordkeeping, which is a major factor in meeting the requirements of the Investment Advisers Act. In addition, Investment Adviser's Legal and Compliance Guide, Second Edition provides registered investment advisers and their legal counsel with a comprehensive review of their compliance responsibilities that arise under the Investment Advisers Act.


Securities Law Compliance

Securities Law Compliance
Author: Allan H. Pessin
Publisher: Irwin Professional Publishing
Total Pages: 488
Release: 1990
Genre: Business & Economics
ISBN:

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Taxmann's SEBI Manual (Set of 3 Vols.) – Compendium of the Annotated text of Acts, 45+ Rules/Regulations, 60+ Circulars/Notifications, 20+ Master Circulars, etc., on SEBI & Securities Laws in India

Taxmann's SEBI Manual (Set of 3 Vols.) – Compendium of the Annotated text of Acts, 45+ Rules/Regulations, 60+ Circulars/Notifications, 20+ Master Circulars, etc., on SEBI & Securities Laws in India
Author: Taxmann
Publisher: Taxmann Publications Private Limited
Total Pages: 32
Release: 2024-07-31
Genre: Law
ISBN: 9357786848

Download Taxmann's SEBI Manual (Set of 3 Vols.) – Compendium of the Annotated text of Acts, 45+ Rules/Regulations, 60+ Circulars/Notifications, 20+ Master Circulars, etc., on SEBI & Securities Laws in India Book in PDF, ePub and Kindle

This book is the most updated & amended compendium of the annotated text of the Acts, Rules, Regulations, Circulars, Master Circulars, etc., on SEBI & Securities Laws in India. This book is unique because it includes all Circulars that amend or clarify primary Circulars, providing a complete and coherent picture. The recent changes (from February 2024 – June 2024) in SEBI & Securities Law include: • 15+ Amendments in Act/Rules/Regulations • 20+ Updated/New Master Circulars This book is helpful for lawyers and legal professionals specializing in securities law, compliance officers in financial institutions, and investors and analysts monitoring regulatory changes. It also benefits academic researchers and students in finance and law, policymakers and regulators in financial markets, and corporate executives and board members overseeing regulatory compliance. The Present Publication is the 43rd Edition | July 2024 & amended up to 31st May 2024. This book is edited by Taxmann's Editorial Board. The coverage of this book includes: • Annotated Text of SEBI (Issue of Capital and Disclosure Requirements) Regulations, 2018 (as amended up to date), with the following: o Master Circular for Issue of Capital and Disclosure Requirements o Guidelines for Returning of Draft Offer Documentation and its Resubmission o Self-Regulatory Organizations for Social Impact Assessors in the Context of Social Stock Exchange (SSE) o Audio Visual (AV) Presentation of Disclosures made in Public Issue Offer Documents • Annotated Text of SEBI Act, 1992 (as amended up to date) with SEBI Notifications • Securities Contracts (Regulations) Act, 1956 (as amended up to date) with Securities Contracts (Regulation) Rules, 1957, with the following: o Securities Contracts (Regulation) (Procedure for Holding Inquiry and Imposing Penalties) Rules, 2005 o Securities Contracts (Regulation) (Stock Exchanges and Clearing Corporations) Regulations, 2018 o Securities Contracts (Regulation) (Manner of Increasing and Maintaining Public Shareholding in Recognised Stock Exchanges) Regulations, 2006 o Securities Contracts (Regulation) (Appeal to Securities Appellate Tribunal) Rules, 2000 o Clarifications • 45+ SEBI Rules/Regulations, 60+ Circulars/Notifications/Press Notes In-force, 20+ Master Circulars, and 3+ Operational Circular • Annotated Text of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 (Listing Regulations) with the following: o Master Circular for compliance with the provisions of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, by listed entities o Master Circular on § Scheme of arrangement by Listed Entities and § Relaxation under sub-rule (7) of Rule 19 of the Securities Contracts (Regulation) Rules, 1957 o Relaxation from the requirement to furnish a copy of PAN for transfer of equity shares of Listed Entities executed by non-residents o Re-lodgement of transfer requests of shares o Relaxation from compliance with certain provisions of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, for an Entity with listed Non-Convertible Securities o Master Circular for Listing Obligations and Disclosure Requirements for Non-Convertible Securities, Securitized Debt Instruments and/or Commercial Paper o Extension of timeline for verification of market rumours by listed entities o Limited relaxation from compliance with certain provisions of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 o Relaxation from compliance with certain provisions of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 o Procedural framework for dealing with unclaimed amounts Lying with entities having listed Non-Convertible securities and Manner of claiming such amounts by Investors o Extension of Timeline for Verification of Market Rumours by Listed Entities o Framework for Considering Unaffected Price for Transactions upon Confirmation of Market Rumours o Industry Standards on Verification of Market Rumours o Timelines for Disclosures by Social Enterprises on Social Stock Exchange ('SSE') for FY 2023-24 o Listing Agreement for Indian Depository Receipts (IDRs)


Taxmann's Law Relating to ICDR | SEBI (Issue of Capital and Disclosure Requirements) Regulations 2018 – Extensively covering SEBI (ICDR) Regulations | Master Circular | Informal Guidance | Case Laws

Taxmann's Law Relating to ICDR | SEBI (Issue of Capital and Disclosure Requirements) Regulations 2018 – Extensively covering SEBI (ICDR) Regulations | Master Circular | Informal Guidance | Case Laws
Author: Taxmann
Publisher: Taxmann Publications Private Limited
Total Pages: 19
Release: 2024-05-22
Genre: Law
ISBN: 935778750X

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This detailed handbook presents the regulatory framework established by the Securities and Exchange Board of India (SEBI) for the Issue of Capital and Disclosure Requirements (ICDR). This book will be helpful for legal practitioners, compliance officers, finance professionals, and scholars interested in the intricacies of capital market regulations in India. It is structured into four comprehensive divisions, providing extensive analysis and practical guidance on the subject: • Division One – SEBI (Issue of Capital and Disclosure Requirements) Regulations 2018 • Division Two – Master Circular for Issue of Capital and Disclosure Requirements • Division Three – Informal Guidance on ICDR • Division Four – Case Laws The Present Publication is the Latest Edition, updated till 10th May 2024. This book is edited/authored by Taxmann's Editorial Board, with the following coverage: • [SEBI (ICDR) Regulations] This division includes an arrangement of regulations for easy navigation and provides the complete text of the SEBI (Issue of Capital and Disclosure Requirements) Regulations, 2018, serving as the foundational reference • [Master Circular for ICDR] This division features the full text of the Master Circular, ensuring readers have access to the latest and most relevant information • [Informal Guidance on ICDR] This division presents the informal guidance provided by SEBI that helps market participants, such as companies, investors, and legal professionals, understand and comply with complex securities laws and regulations • [Case Laws] This division presents a curated collection of case laws related to capital and disclosure requirements


The Investment Advisor's Compliance Guide 2nd Edition

The Investment Advisor's Compliance Guide 2nd Edition
Author: Les Abromovitz
Publisher:
Total Pages: 0
Release: 2017-02-22
Genre:
ISBN: 9781941627938

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Given the current activities of SEC and state securities regulators, as well as the changing business and communication landscapes, investment advisors today must keep current with developments affecting compliance at all levels and in all jurisdictions. The Investment Advisor's Compliance Guide, 2nd Edition delivers a concise yet comprehensive explanation of the rules and how they affect the work you do on a daily basis--no matter where you're registered. The completely enhanced and updated Investment Advisor's Compliance Guide, 2nd Edition, provides highly practical guidance covering all of today's compliance issues, including: -The DOL's new fiduciary rule -RIA advertising, including the use of client testimonials, credentials, and performance results -The use of today's top social media platforms -Client communications, including disclosures -Recent ethical decisions Designed to go far beyond basic compliance rules, The Investment Advisor's Compliance Guide, 2nd Edition, will also help advisors avoid compliance issues, deal with client complaints, and grow their business with the confidence that their actions are well suited to withstand the strictest scrutiny from clients and regulators alike. The expert author, Les Abromovitz, J.D., has extensive experience handling compliance consulting assignments for Registered Investment Advisers (RIAs). In The Investment Advisor's Compliance Guide, 2nd Edition, he has created a completely up-to-date, reader-friendly, go-to-resource for investment advisors, vital for veterans but also a powerful training tool for those new to the field. .