Bloomsbury's SEBI Manual 2020, Volume 1. (Second Edition)
$153.00
Author: | BPI |
ISBN 13: | 9789389611076 |
Binding: | Softcover |
Language: | English |
Year: | 2020 |
Subject: | Law |
About the Book
Volume 1
Covering:
Referencer
1. Bird's Eye view of SEBI Laws
2. List of Regulations
3. List of Rules
4. List of Circulars
5. List of Notifications
6. List of Master Circulars
Division I - Acts & Allied Laws
1. Securities and Exchange Board of India (SEBI) Act, 1992
2. Securities Contracts (Regulation) Act, 1956
3. Securities Contracts (Regulation) Rules, 1957
4. Depositories Act, 1996
Division II - Part I – Regulations under Securities and Exchange Board of India Act, 1992
1. SEBI (Issue of Capital and Disclosure Requirements) Regulations, 2018
2. SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015
3. SEBI (Substantial Acquisition of Shares and Takeover) Regulations, 2011
4. SEBI (Buy-Back of Securities) Regulations, 2018
5. SEBI (Delisting of Equity Shares) Regulations, 2009
6. SEBI (Issue of Sweat Equity) Regulations, 2002
7. SEBI (Issue &Listing of Non-Convertible Redeemable Preference Shares) Regulations, 2013
8. SEBI (Issue and Listing of Securitised Debt Instruments and Receipts) Regulations, 2008
9. SEBI (Share Based Employee Benefits) Regulations, 2014
10. SEBI (Prohibition of Insider Trading) Regulations, 2015
11. SEBI (Prohibition of Fraudulent and Unfair Trade Practices Relating to Securities Market) Regulations, 2003
12. SEBI (Settlement Proceedings) Regulations, 2018
13. SEBI (Mutual Funds) Regulations, 1996
14. SEBI (Alternative Investment Funds) Regulations, 2012
15. SEBI (Real Estate Investment Trusts) Regulations, 2014
16. SEBI (Infrastructure Investment Trusts) Regulations, 2014
17. SEBI (Debenture Trustees) Regulations, 1993
18. SEBI (Portfolio Manager) Regulations, 1993
19. SEBI (Registrars to an Issue and Share Transfer Agents) Regulations, 1993
20. SEBI (Underwriters) Regulations, 1993
21. SEBI (Investment Advisers) Regulations, 2013
Volume 2
Covering:
Division II - Part I - Regulations under SEBI Act, 1992
22. SEBI (Merchant Bankers) Regulations, 1992
23. SEBI (Stock Brokers ) Regulations, 1992
24. SEBI (Credit Rating Agencies) Regulations, 1999
25. SEBI (Foreign Venture Capital Investors) Regulations, 2000
26. SEBI (Intermediaries) Regulations, 2008
27. SEBI (Bankers to an Issue)Regulations, 1994
28. SEBI (Research Analyst) Regulations, 2014
29. SEBI (Foreign Portfolio Investors)Regulations, 2019
30. SEBI (Collective Investment Schemes) Regulations, 1999
31. SEBI (Custodian) Regulations, 1996
32. SEBI (Self Regulatory Organizations) Regulations, 2004
33. SEBI (Regulatory fee on Stock Exchanges) Regulations, 2006
34. SEBI (Investor Protection and Education Fund) Regulations, 2009
35. SEBI (Appointment of Administrator & Procedure for Refunding to Investors) Regulations, 2018
36. SEBI {KYC (Know Your Client) Registration Agency} Regulations, 2011
21. SEBI (Investment Advisers) Regulations, 2013
37. SEBI (Procedure for Board Meetings) Regulations, 2001
38. SEBI (Issue and Listing of debt securities by Municipalities) Regulations, 2015
39. SEBI (Certification of Associated Persons in the Securities Markets) Regulations, 2007
40. SEBI (Central Database of Market Participants) Regulations, 2003
41. SEBI (Ombudsman) Regulations, 2003
42. SEBI (Procedure for Search and Seizure) repeal Regulations, 2015
43. SEBI (Employees' Service) Regulation, 2001
Part II - Regulations under Securities Contracts (Regulation) Act, 1956
44. Securities Contracts (Regulation) (Stock Exchange & Clearing Corporations) Regulations, 2018
45. Securities Contracts (Regulation) (Manner of Increasing and Maintaining Public Shareholding in Recognised Stock Exchanges), Regulations, 2006
Part III - Regulations under Depositories Act, 1996
46. SEBI (Depositories and Participants) Regulations, 2018
Division III – Rules
1. SEBI (Annual Report) Rules, 1994
2. SEBI (Appeal to Central Government) Rules, 1993
3. SEBI (Form of Annual Statement of Accounts and Records) Rules, 1994
4. SEBI (Procedure for Holding Inquiry and Imposing Penalties) Rules, 1995
5. SEBI (Terms and Conditions of Service of Chairman and Members) Rules, 1992
6. Securities Contracts (Reference to the CLB) Rules, 1986
7. Securities Contracts (Regulation) (Appeal to Securities Appellate Tribunal) Rules, 2000
8. Securities Contracts (Regulation) (Procedure for Holding Inquiry and Imposing Penalties) Rules
9. Depositories (Appeal to Securities Appellate Tribunal) Rules, 2000
10. Depositories (Appeal to the Central Government) Rules, 1998
11. Depositories (Procedure for Holding Inquiry and Imposing Penalties) Rules, 2005
12. Companies (Prospectus and Allotment of Securities) Rules, 2014
13. Companies(Share Capital and Debentures) Rules, 2014
14. Securities Appellate Tribunal (Procedure) Rules, 2000
15. Securities Appellate Tribunal (Salaries and Allowances and other conditions of Service of the Officers and Employees) Rules, 1997
16. Securities Appellate Tribunal (Salaries, Allowances and other Terms and Conditions of Presiding Officer and other Members) Rules, 2003
17. Tribunal, Appellate Tribunal and Other Authorities (Qualifications Experience and other Conditions of Service of Members) Rules, 2017
18. Finance Act, 2017 - Condition of service of Chairperson and members of Tribunals, Appellate Tribunals and other authorities
Division IV – Circulars – (Year 2014 to 2016)
Volume 3
Covering:
Division IV - Circulars (Year 2017 to 2020)
Division V - Master Circulars
1. Master Circular on Matters relating to Exchange Traded Derivatives
2. Master Circular for Commodity Derivatives Market
3. Master Circular on Mutual Funds
4. Master Circular on Stock Brokers
5. Master Circular on Underwriters registered with SEBI
6. Master Circular on Credit Rating Agencies
7. Master Circular on Debenture Trustees
8. Master Circular on Anti-Money Laundering (AML) Standards and Combating the Financing of Terrorism (CFT)/Obligations of Securities Market Intermediaries
9. Master Circular on Depositories
10. Master Circular on Stock Exchange and Clearing Corporation
Division VI - Others1. Notifications under Regulation 3 of the SEBI (Certification of Associated Persons in the Securities Markets) Regulations, 2007
2. Notifications issued under Section 26A of the SEBI Act, 1992
3. Notification issued under Section 15L of the SEBI Act, 1992
4. Notified common application form for purpose of registration, opening of Bank & DEMAT Accounts and application for PAN by Foreign Portfolio Investors in India
5. Depository Scheme, 2014
6. Issue of Foreign Currency Convertible Bonds and Ordinary Shares (through Depository Receipt Mechanism) Scheme, 1993 Issue of Foreign Currency Exchangeable Bonds Scheme, 2008
7. Companies (Issue of Global Depository Receipts) Rules, 2014
8. The Forward Contracts (Regulation) Act, 1952
9. Forward Contracts (Regulation) Rules, 1954
10. Securities Transaction Tax (Chapter VII of the Finance (No. 2) Act, 2004)
11. Securities Transaction Tax Rules, 2004
12. Securities Transaction Tax – RBI Circulars-Reporting of OTC trades in Corporate Bonds on Trade Reporting Platforms of Stock Exchanges
13. SEBI (Informal Guidance) Scheme, 2003
14. SEBI (Interest Liability Regularisation) Scheme, 2004
15. Applications Supported by Blocked Amount (ASBA)
16. Offer Documents- SEBI (Framework for Rejection of Draft Offer Documents) Order, 2012
17. SEBI (Issuing Observations on Draft Offer Documents Pending Regulatory Actions) Order, 2006
18. How to get registered as a Research Analyst and instructions for filling in Form A
19. Irregularities/deficiencies in books of accounts of members
20. Code on Conflict of Interests for Members of Board