Declarations by IA
Declaration Statement by IA
(As per SEBI IA Regulations, 2013)
- Terms & Conditions Agreement Consent
- Risk Profiling Consent
- Dependent Family Members Declaration
- Annual PAN Declaration for Family-Based Advisory
- Investment Policy Declaration (Non-Individual Clients)
- Declaration on Fee Structure and Limits
- Fee Payment Declaration
- Explicit Consent for Trade Execution (If Applicable)
- Acknowledgment of Non-SEBI Products/Services
1. This service may include advisory views, allocation suggestions, model portfolio references, themes, countries, sectors, or Investment opportunities outside India.
2. The client is specifically informed that such foreign securities, overseas funds, global ETFs, foreign-listed stocks, and other non-Indian investment products/services may be outside the regulatory purview of SEBI.
3. The client is further informed that the advisory services provided by SR Alpha Investment Advisers in respect of such foreign products/services may also be outside SEBI’s regulatory purview to that extent.
4. Accordingly, the client understands and acknowledges that no recourse shall be available with SEBI for grievances arising from such foreign products/services or advisory services provided in respect of such products/services. - No Assured Returns Declaration
- Grievance Redressal Awareness
- Execution of Agreement
- No Fund/Asset Handling
- No Assured Returns
- No Power of Attorney (PoA)
- Disclosure of Conflicts of Interest
- No Benefit from Client Investments
- Arms-Length Declaration
- Regulatory Eligibility
- Code of Conduct Compliance
- No Distribution Services
- No Cross-Distribution or Cross-Advisory – Group Entities
- Adviser’s Liability Disclaimer (Regulatory Limitation of Role)
- Data Privacy & Confidentiality Statement
- Record Retention Consent
- Communication Preference (Mode of Advice Delivery)
- No Free Trial or Preview Services
- Disclosure on AI Usage (If Applicable)
- Clients are informed at onboarding
- The role of AI is limited to support functions
- Human review and compliance are ensured
- Client data is treated with strict confidentiality
- Website & Disclosure Requirements
- SEBI Registration Details
- Registered & Branch Office Addresses
- Investor Charter
- Complaint Status (monthly updates)
- Contact & grievance redressal details
- MITC, Risk Profiling disclosures, and more
- Disclosure for Accredited Investors (If Applicable)
- We may offer bilateral terms (within permitted flexibility).
- All such terms will be clearly documented and mutually agreed upon.
- Other Declarations
- The Investment Advisor have and employ effectively appropriate resources and procedures which are needed for the efficient performance of its business activities.
- The Investment Advisor will take prior approval from the Board, in case of change in control of its entity.
- Furnish to the Board, information and reports as may be specified by the Board from time to time.
- Not act on its own account, knowingly to sell securities or investment products to or purchase securities or investment product from its client.
- Eligibility Criteria
- Educational qualifications
- Certification(NISM Level 1&2)
- Experience norms
- Capital adequacy and deposit requirements(if applicable)
- No distribution by family members-Individual IA