Disclosures
Disclosures
The particulars given in this Disclosure Document have been prepared in accordance with SEBI (Investment Advisers) Regulations, 2013.
The purpose of the Document is to provide essential information about the Investment Advisory Services in a manner to assist and enable the perspective client/client in making an informed decision for engaging Investment Advisor before investing.
For the purpose of this Disclosure Document, Investment Adviser is Multipl Wealth Management Private Limited (“Investment Adviser”)
Descriptions about “Investment Adviser”
History, Present business and Background
Investment Adviser is registered with SEBI as Investment Adviser with Registration No. INA200014681. The firm got its registration on May 29, 2020 and is engaged in advisory services.
The focus of Investment Adviser is to provide investment advice to the clients. Adviser aligns its interests with those of the client and seeks to provide the best suited advice based on clients risk profile. Investment Adviser first tries to understand the client's return expectations, risk taking ability & goals, which in turn helps to arrive at an asset allocation suitable for the client. Investment Adviser conducts frequent portfolio reviews and suggests any corrective action/s if required.
Terms and conditions of Advisory Services
Terms and conditions of advisory services are detailed in the client agreement. Please refer to the same for details.
Disciplinary history
No penalties / directions have been issued by SEBI under the SEBI Act or Regulations made there under against the Investment Adviser relating to Investment Advisory services.
There are no pending material litigations or legal proceedings, findings of inspections or investigations for which action has been taken or initiated by any regulatory authority against the Investment Adviser or its Directors, or employees.
Affiliations with other intermediaries
Investment Adviser has no affiliation with any other SEBI registered intermediaries.
Disclosures with respect to Investment Adviser’s own holding position in financial products / securities:
Investment Adviser may hold position in the financial products/ securities advised in its own portfolio. Details of the same may be referred through the disclosures made at the time of advice.
Disclosures with respect to any actual or potential conflicts of interest arising from any connection to or association with any issuer of products/ securities, including any material information or facts that might compromise its objectivity or independence in the carrying on of investment advisory services.
There are no actual or potential conflicts of interest arising from any connection to or association with any issuer of products/ securities, including any material information or facts that might compromise its objectivity or independence in the carrying on of investment advisory services. Such conflict of interest shall be disclosed to the client as and when they arise.
Disclosure of all material facts relating to the key features of the products or securities, particularly, performance track record, warnings, disclaimers etc.
Clients are requested to go through the detailed key features, performance track record of the product, or security including warnings, disclaimers etc. before investing as and when provided by the Investment Adviser. Such product materials may also be available to www.sebi.gov.in or www.nseindia.com or respective issuers website.
Drawing client’s attention to warnings, disclaimers in documents, advertising materials relating to investment products.
Investment Adviser draws the client’s attention to the warnings, disclaimers in documents, advertising materials relating to an investment product/s which are being recommended to the client/s. A brief regarding the risk associated with the investment products are available in client agreement, same may be referred before investing in advised product or securities.
Disclosure on Non- SEBI Product
Any Investment advice given by the Investment advisor on the products or services which are outside the regulatory purview of the Board, no recourse from the Board shall be available to clients for any grievance arising therefrom.
Investment Adviser is not using/ using Artificial Intelligence tools in providing investment advice.
MULTIPL WEALTH MANAGEMENT PRIVATE LIMITED
SEBI Reg. No. INA200014681
The particulars given in this Disclosure Document have been prepared in accordance with SEBI (Investment Advisers) Regulations, 2013.
The purpose of the Document is to provide essential information about the Investment Advisory Services in a manner to assist and enable the perspective client/client in making an informed decision for engaging Investment Advisor before investing.
For the purpose of this Disclosure Document, Investment Adviser is Multipl Wealth Management Private Limited (“Investment Adviser”)
Descriptions about “Investment Adviser”
History, Present business and Background
Investment Adviser is registered with SEBI as Investment Adviser with Registration No. INA200014681. The firm got its registration on May 29, 2020 and is engaged in advisory services.
The focus of Investment Adviser is to provide investment advice to the clients. Adviser aligns its interests with those of the client and seeks to provide the best suited advice based on clients risk profile. Investment Adviser first tries to understand the client's return expectations, risk taking ability & goals, which in turn helps to arrive at an asset allocation suitable for the client. Investment Adviser conducts frequent portfolio reviews and suggests any corrective action/s if required.
Terms and conditions of Advisory Services
Terms and conditions of advisory services are detailed in the client agreement. Please refer to the same for details.
Disciplinary history
No penalties / directions have been issued by SEBI under the SEBI Act or Regulations made there under against the Investment Adviser relating to Investment Advisory services.
There are no pending material litigations or legal proceedings, findings of inspections or investigations for which action has been taken or initiated by any regulatory authority against the Investment Adviser or its Directors, or employees.
Affiliations with other intermediaries
Investment Adviser has no affiliation with any other SEBI registered intermediaries.
Disclosures with respect to Investment Adviser’s own holding position in financial products / securities:
Investment Adviser may hold position in the financial products/ securities advised in its own portfolio. Details of the same may be referred through the disclosures made at the time of advice.
Disclosures with respect to any actual or potential conflicts of interest arising from any connection to or association with any issuer of products/ securities, including any material information or facts that might compromise its objectivity or independence in the carrying on of investment advisory services.
There are no actual or potential conflicts of interest arising from any connection to or association with any issuer of products/ securities, including any material information or facts that might compromise its objectivity or independence in the carrying on of investment advisory services. Such conflict of interest shall be disclosed to the client as and when they arise.
Disclosure of all material facts relating to the key features of the products or securities, particularly, performance track record, warnings, disclaimers etc.
Clients are requested to go through the detailed key features, performance track record of the product, or security including warnings, disclaimers etc. before investing as and when provided by the Investment Adviser. Such product materials may also be available to www.sebi.gov.in or www.nseindia.com or respective issuers website.
Drawing client’s attention to warnings, disclaimers in documents, advertising materials relating to investment products.
Investment Adviser draws the client’s attention to the warnings, disclaimers in documents, advertising materials relating to an investment product/s which are being recommended to the client/s. A brief regarding the risk associated with the investment products are available in client agreement, same may be referred before investing in advised product or securities.
Disclosure on Non- SEBI Product
Any Investment advice given by the Investment advisor on the products or services which are outside the regulatory purview of the Board, no recourse from the Board shall be available to clients for any grievance arising therefrom.
Investment Adviser is not using/ using Artificial Intelligence tools in providing investment advice.
MULTIPL WEALTH MANAGEMENT PRIVATE LIMITED
SEBI Reg. No. INA200014681

multipl
Multipl Wealth Management Private Limited
SEBI Registered Investment Advisers
SEBI Reg. No. INA200014681
Type of Registration: Non-Individual
Validity: Perpetual
Registration granted by SEBI,
enlistment with BSE and certification from NISM
in no way guarantee performance of the intermediary
or provide any assurance of returns to investors.
AMFI Registered Distributor
AMFI Registration Number : ARN-319633
Validity period from: 22-JAN-2025 To 21-JAN-2028
Escalation Matrix
Level 1 - Compliance Officer
Level 2 - Principal Officer
SEBI-Bengaluru office address &
contact
2F, Jeevan Mangal Bldg.,
No.4 Residency Road,
Bengaluru - 560025, Karnataka;
+91-80-22222262/64/83;
Number of complaints received from all sources -
August 2025
Reasons for pendency : NA

multipl
Multipl Wealth Management Private Limited
SEBI Registered Investment Advisers
SEBI Reg. No. INA200014681
Type of Registration: Non-Individual
Validity: Perpetual
Registration granted by SEBI,
enlistment with BSE and certification from NISM
in no way guarantee performance of the intermediary
or provide any assurance of returns to investors.
AMFI Registered Distributor
AMFI Registration Number : ARN-319633
Validity period from: 22-JAN-2025 To 21-JAN-2028
Escalation Matrix
Number of complaints received from all sources -
August 2025
Reasons for pendency : NA