Insider Law Advisory
Insider Trading is considered a serious white-collar crime that occurs when insiders of a listed company trade securities while in possession of Unpublished Price Sensitive Information (UPSI). This breach of trust can lead to significant damage to the confidence of stakeholders. With regulators like SEBI becoming increasingly vigilant, monitoring insider trading has become more crucial.
At Corporate Professionals, our specialized team of lawyers and company secretaries brings extensive experience in assisting listed companies with compliance, legal advisory, and regulatory reporting related to insider trading laws. We ensure that your organization adheres to the latest amendments in SEBI's Insider Trading Laws and help establish an effective mechanism to prevent market infractions.
Key Offerings
Review of Policies and Formulation of Code of Conduct
Designing Internal Control Systems
Insider Law Audit
Insider's Training & Workshops
Tool for Insider Law Management - INSILYSIS
Services pertaining to Structured Digital Database
In compliance with SEBI’s Prohibition of Insider Trading (PIT) regulations, maintaining a Structured Digital Database (SDD) has become a critical requirement for listed companies. Our expert team offers comprehensive SDD services, ensuring that your organization adheres to regulatory standards while safeguarding sensitive data.
Insider Law Services for the Fiduciaries and Intermediaries:
Fiduciaries and intermediaries play a vital role in the corporate ecosystem, especially in matters involving unpublished price-sensitive information (UPSI). Our Insider Law Services are designed to help fiduciaries and intermediaries comply with SEBI’s Prohibition of Insider Trading (PIT) regulations, safeguarding your organization from non-compliance risks.
Representation before Appellate Authority
Service approach that guarantees efficiency
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Policy Review & Code Formulation
We assess your existing insider trading policies and help draft new codes of conduct that align with SEBI regulations.

Internal Control Design
We work with your internal teams to identify risks and implement control mechanisms.

Audit & Compliance Monitoring
We perform audits to ensure full compliance with insider trading laws and SEBI regulations.

Training & Workshops
We educate designated persons and key management on insider trading laws and compliance responsibilities.

Representation & Legal Support
We provide expert representation before regulatory authorities in cases related to insider trading.
Contact Us
For expert guidance on insider trading compliance and risk management, contact our Insider Law Advisory team today.
Get In Touch Get In TouchCase Studies

Assisted in creating and implementing a comprehensive code of conduct to ensure full compliance with SEBI’s insider trading regulations, reducing insider trading risks by 30%.

Conducted a detailed insider law audit, resulting in the identification and mitigation of potential compliance lapses, ensuring a clean audit from SEBI.

Provided insider trading workshops to KMPs and board members, improving compliance awareness and reducing the risk of insider trading incidents.
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