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Becoming a SEBI Registered Investment Advisor: A Complete Guide

International College of Financial Planning

It can involve guidance on buying or selling securities, portfolio management, and other relevant financial products. Professional qualification through a Post Graduate Program in the Securities Market (Investment Advisory) from NISM (National Institute of Securities Market) with a duration of at least one year.

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High Net Profit Margin Companies In India – Financials & List of Stocks

Trade Brains

IEX is licensed by the Central Electricity Regulatory Commission (CERC) for the trading of electricity, renewal energy certificates, and energy-saving certificates. Financials Of Indian Energy Exchange CMP ₹ 155 Market Cap (Cr.) ₹ 13,821 EPS ₹ 3.23 Stock P/E 47.6 ROCE 51.8 % ROE 39.4 % Face Value ₹ 1.00 Book Value ₹ 8.37

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Best Dividend Stocks Under Rs 50 To Add To Your Watchlist

Trade Brains

The company aimed to mobilize funds from domestic as well as overseas capital markets. It is also registered as a Systemically Important Non–Deposit taking Non-Banking Financial Company (NBFC – ND-SI) and Infrastructure Finance Company (NBFC- IFC) with the Reserve Bank of India (RBI). Market Cap (Cr) Rs 1,024.28

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High FII Holding Stocks Under Rs 200 To Add To Your Watchlist

Trade Brains

Federal Bank Federal Bank is a Private Sector Commercial bank established in the South Indian State of Kerala. The bank was incorporated in 1931 as Travancore Federal Bank Ltd. The Bank was taken over by the Late Kulangara Paylo Hormis, who would head the bank as its CEO. Market Cap (Cr.)

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Should you die and go to hell before selling an annuity?

Sara Grillo

He is a flat fee advisor; not a licensed insurance agent. I am a CFA® charterholder and financial advisor marketing consultant. I have a newsletter in which I talk about financial advisor lead generation topics which is best described as “fun and irreverent.” Scott Salaske , CEO of Firstmetric.

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Should the CFP Board police financial advisor “bad apples”? The debate continues! (Part Two)

Sara Grillo

I do believe it should be different regulated differently from portfolio management, which is the typical definition of the registered investment advisor, but that it shouldn’t be the CFP Board that is controlling the regulatory environment for financial planners. And you feel badly for them.

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