We source competitive unlisted prices via institutional networks and execute trades under strict documentation and settlement processes.
Unlisted equities can be illiquid. We guide clients on expected holding periods, exit windows, and cash flow implications & ensuring alignment with your financial plan.
Each investment undergoes documentation scrutiny, valuation checks, & risk advisory & helping you understand the business, corporate structure, and disclosure status.
For every transaction we handle statutory requirements, share transfers, and DP updates — keeping your investment within legal norms.
Identify Opportunity – Receive verified quotes for available NSE unlisted shares.
Agree & Document – Sign / Email required documents (SPA, Annexures), conduct KYC/DP validation.
Execute & Transfer –Transfer Funds; share transfer happens via online transfers under NSDL/CDSL.
Monitor & Exit – Support you in resale, lock-in periods, and potential grey-market or IPO alignment