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U. Y. Fincorp Ltd - Intimation Under Securities And Exchange Board Of Lndia ("SEBI")(Prohibition Of Insider Trading) Regulations, 2015

| Updated on March 28, 2019 Published on March 28, 2019

The Board of Directors of the Company have considered and approved/adopted the following in compliance with the SEBI (Prohibition of Insider Trading) (Amendment) Regulations, 2018 and SEBI (Prohibition of Insider Trading) (Amendment) Regulations, 2019:-
1. Revised/Amended policy on Code of Conduct to Regulate, Monitor and Report Trading by Designated Persons and their Immediate Relatives in terms of Regulation 9 of the SEBI (Prohibition of Insider Trading), Regulations, 2015.
2. Revised/Amended Code of Practices and Procedures for Fair Disclosure of Unpublished Price Sensitive Information formulated in terms of Regulation 8 of the SEBI (Prohibition of Insider Trading), Regulations, 2015.
3. Policies and Procedural for inquiry in case of leak of Unpublished Price Sensitive Information, or Suspected Leak of Unpublished Price Sensitive Information in terms of Regulation 9A the SEBI (Prohibition of Insider Trading) (Amendment) Regulations, 2O18.
4. Revised/Amended Vigil Mechanism / Whistle Blower Policy in terms of Regulation 9A of the SEBI (Prohibition of Insider Trading), Regulations, 2015.

The amendment to the above codes/policy is effective from April 1, 2019. The same will be uploaded on the website of the Company at www.uyfincorp.com.

Pdf Link: U. Y. Fincorp Ltd - Intimation Under Securities And Exchange Board Of Lndia ("SEBI")(Prohibition Of Insider Trading) Regulations, 2015

Source : BSE - www.bseindia.com

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Published on March 28, 2019
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