Corporate Governance Analysis for Indian Companies
Corporate governance is the most underpriced risk in Indian equity markets. Promoter pledging, related-party transactions, board composition, and SEBI compliance history are all governance signals that most retail research misses entirely.
Governance Risk Factors in India
India-specific governance risks include high promoter concentration (>50% common), circular shareholding via shell companies, audit committee independence, frequent key management changes, and history of SEBI or MCA action. ProspektLab scores each of these systematically.
Governance Analysis Features
- Promoter shareholding and pledging trends
- Board composition: independence, tenure, cross-directorships
- Director network mapping across listed entities
- Related-party transaction flags from annual reports
- SEBI enforcement history linked to companies and directors
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