BSECompany Update22 Jun 2026 · 22 Jun 2026, 03:14 pm

Pursuant to Regulation 30 of SEBI (LODR) Regulations, 2015, Mr. Sarthak Bhalla has been appointed as Compliance Officer-PIT and classified as a Senior Management Personnel of the Company ....

Share India Securities Ltd · 540725

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Share India Securities Ltd. has announced the appointment of Mr. Sarthak Bhalla as the Compliance Officer under the SEBI (Prohibition of Insider Trading) Regulations, 2015. He has also been classified as a Senior Management Personnel (SMP) of the company. The appointment is effective from June 22, 2026. Mr. Bhalla is a qualified Company Secretary with over five years of experience in corporate laws, securities laws, and regulatory compliances, including successful fund-raising initiatives.

Analysis Scores

Earnings Impact5/10
Growth Catalyst5/10
Governance Concern2/10
Regulatory Risk3/10
Balance Sheet Risk5/10
Liquidity Impact5/10
Market Sentiment6/10

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Share India Securities Ltd - 540725 - Announcement under Regulation 30 (LODR)-Change in Management

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(CIN: L67120GJ1994PLC115132) Member: NSE, BSE, MCX, NCDEX & MSEI Depository Participant with CDSL & NSDL AMFI Registered Mutual Fund Distributor MAY 2025-MAY 2026 SEBI Registered Research Analyst & Portfolio Manager INDIA June 22, 2026 To, To, BSE Limited National Stock Exchange of India Limited Scrip Code: 540725 / 976824 / 976825 / 977430 Symbol: SHAREINDIA Sub: Disclosure under Regulation 30 of the SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015 – Appointment of Mr. Sarthak Bhalla as the Compliance Officer in terms of SEBI (Prohibition of Insider Trading) Regulations, 2015, and his classification as a Senior Management Personnel of the Company. Sir/Ma’am, Pursuant to Regulation 30 and other applicable provisions of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 ("Listing Regulations"), we hereby inform you that the Board of Directors of the Company have approved the appointment of Mr. Sarthak Bhalla as the Compliance Officer in terms of SEBI (Prohibition of Insider Trading) Regulations, 2015 (“PIT Regulations”) and his classification as a Senior Management Personnel (SMP) of the Company, with effect from June 22, 2026. Further, the detailed disclosure as required under Regulation 30 of the Listing Regulations read with SEBI Master Circular No. HO/49/14/14(7)2025-CFD-POD2/I/3762/2026 dated January 30, 2026, as amended from time to time, is enclosed herewith as Annexure. The aforesaid approval was accorded by the Board of Directors by way of a resolution passed through circulation on June 22, 2026, at approximately 01:03 p.m. You are requested to take the same on your records. Thanking you, Yours faithfully, For Share India Securities Limited Vikas Aggarwal Company Secretary and Compliance Officer M. No. F5512 Annexure Disclosure in terms of Regulation 30 of the Listing Regulations read with SEBI Master Circular No. HO/49/14/14(7)2025-CFD-POD2/I/3762/2026 dated January 30, 2026 Details of events that needs to be provided Information of such event(s) Reason for change viz. appointment, re-appointment, Appointment of Mr. Sarthak Bhalla as the Compliance resignation, removal, death or otherwise Officer pursuant to the PIT Regulations and his classification as a Senior Management Personnel of the Company. Date of appointment/re-appointment/cessation (as The appointment shall be effective from June 22, applicable) & term of appointment/re-appointment; 2026. Since he is in whole-time employment with the Company, the term of appointment is not applicable. Brief profile Mr. Sarthak Bhalla is a qualified Company Secretary (in case of appointment) and a Commerce Graduate (B.Com. Hons.) from the University of Delhi, with over five years of experience in the areas of corporate laws, securities laws, secretarial matters and regulatory compliances. He has played a key role in several strategic initiatives of the Company, including the successful fund-raising through Rights Issue of equity shares and detachable warrants. He possesses extensive experience in dealing with regulatory matters before SEBI, Stock Exchanges and other authorities, and has been instrumental in drafting regulatory submissions, compliance policies, standard operating procedures and governance frameworks. He also has significant experience in handling unpublished price sensitive information and ensuring compliance with regulations applicable to listed entities. He possesses the requisite knowledge and expertise to discharge the responsibilities of the Compliance Officer under the PIT Regulations, 2015. He holds the NISM Series III-A Certification and has also completed a specialised certification programme on Insider Trading Regulations. Disclosure of relationships between Directors (in Not Applicable case of appointment of a Director)