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Practice Area

Securities Law

Expert counsel for listed entities, investors, and corporates — navigating India's dynamic capital markets, SEBI regulations, and securities compliance with precision.

SEBI Compliance IPO / Takeovers Insider Trading FPI Investments SAT Representation

$2T+

Indian Market Cap

15+

Years Experience

Listed

Entity Advisory

SEBI & SAT

Representation

Overview

India's Capital Markets —
Expert Counsel at Every Level.

India is among the world's largest stock markets by size. The Indian securities market continues to grow exponentially, attracting significant domestic and foreign investment.

The Securities and Exchange Board of India (SEBI) is considered one of the premier securities market regulators in the world. Dynamic and astute regulation by SEBI is one of the key reasons for the increasing depth and vitality of the Indian securities market — but it also creates a complex, ever-evolving compliance landscape for listed entities, investors, and intermediaries.

The securities law practice of Juris and Justice is an integral part of its broader corporate law practice. The firm advises renowned listed entities on various aspects of the securities market in India — combining regulatory expertise with practical business acumen to deliver clear, actionable counsel.

Who We Advise

Listed Companies

Publicly listed entities on NSE and BSE — on all aspects of SEBI compliance, listing obligations, and corporate governance.

Foreign Portfolio Investors

FPIs, foreign institutional investors, and investment vehicles seeking to invest in Indian securities markets.

Promoters & Insiders

Promoters, designated employees, and connected persons on insider trading compliance, trading plans, and disclosure obligations.

Acquirers & Target Companies

Parties involved in open offers, substantial acquisitions, and takeovers under the SEBI Takeover Code.

How We Can Help You

Our securities law practice provides comprehensive advisory and representation services to listed entities and investors:

Listing Regulations & Corporate Governance

Advising listed entities on compliance with SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 — including board composition, related party transactions, continuous disclosure obligations, and corporate governance norms.

IPOs, Takeovers & Buybacks

Legal support for implementation of initial public offers (IPOs), rights issues, preferential allotments, open offers under the Takeover Code, and buyback of securities — from regulatory filings to closing.

Representation Before SEBI & SAT

Representing clients before the Securities and Exchange Board of India (SEBI) in enquiry and adjudication proceedings, and before the Securities Appellate Tribunal (SAT) in appeals against SEBI orders.

Foreign Portfolio Investor (FPI) Investments

Advisory on investments in Indian securities by Foreign Portfolio Investors, offshore funds, and other investment vehicles — including FPI registration, investment limits, and FEMA compliance.

Insider Trading Compliance

Comprehensive compliance framework for insider trading regulations — formulation of trading plans for securities acquisition, devising codes of conduct for designated employees, and advising on UPSI identification and disclosure requirements.

Key Regulations We Work With

SEBI Act, 1992 SEBI LODR Regulations, 2015 SEBI Takeover Code, 2011 SEBI PIT Regulations, 2015 SEBI ICDR Regulations, 2018 SEBI FPI Regulations, 2019 Securities Contracts (Regulation) Act, 1956 Depositories Act, 1996

Securities compliance or SEBI matter?

Get expert securities law counsel — confidential, no-obligation consultation.