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The following disclosure is related with the daily operations of Augmenta –
1. Augmenta Research Private Limited – Investment Advisor (hereinafter referred as “Augmenta”) shall not be liable for any misrepresentation, falsification, and deception or for any lack of availability of services through the website, even if the same are advertised for, on the website.
2. Augmenta categorically states that different types of investments involve varying degrees of risk, and there can be no assurance that the future performance of any specific investment or investment strategy (including those undertaken or recommended by Augmenta), will be profitable or equal any historical performance level(s).
3. Your KYC and Risk Profiling formalities need to be complete before you can use any service from Augmenta. Even if the subscription fee is paid, no service would be rendered to any customer before completion of KYC and RPM formalities. For completing the KYC formalities, we proceed with the information mentioned on the PAN Card Number only.
4. The service offered to any customer depends on his/her Risk Profile Management. Augmenta offers only those services to the customers which are either of the same risk categories or less. In all the other cases, Augmenta offers no services.
5. The website contains features of the services that are currently being offered by Augmenta and those intended to be offered in the future. Augmenta intends to launch the services, confirming with the features listed on the website in total, however, due to business need and regulatory requirement the final launch may contain variables. Notwithstanding anything contained on the website regarding the services, Augmenta may decide to postpone the offering of the services or may even decide to withdraw the offering or even a currently offered service altogether.
6. Augmenta is not engaged in any kind of execution services. In order to ensure compliance with SEBI (Investment Advisors) Regulations, 2013, it is ensured by Augmenta that there is no duplicity of clients across these entities. However, due to any unavoidable circumstances if any duplicity is found, such Clients are dealt as per Regulation 22A of SEBI (Investment Advisors) Regulations, 2013.
7. Augmenta reserves the right to modify/ alter/ change the content of its website. Clients are advised to update themselves from time to time.
8. Investments in securities are subject to market risks, which include price fluctuation risk. There is no assurance or guarantee that the objectives of any of the products mentioned in this document or on this site will be achieved. Read all the documents carefully before investing.
9. Public Notice to draw the attention of investors at large about the prevalence of fraudulent activities being perpetuated by fraudsters who aim to deceive and defraud the investors by misusing Augmenta’s name, logo and other intellectual property.
10. As a business, we offer stock recommendations based on fundamental research ONLY to our subscribers. We have not authorized any organization or firm to represent us and offer stock recommendations on our behalf.
11. Research data and reports published/ emailed/ text messaged/ transmitted through mobile application/s, by Augmenta or those recommendation or offers or opinions concerning securities or public offer which are expressed as and during the course of “Public Appearance” are for informational purposes only. The reports are provided for assistance and are not intended to be and must not alone be taken as the basis for an investment decision. The user assumes the entire risk of any use made of this report/ analysis/ call. Though disseminated to clients simultaneously, not all clients may receive the reports at the same time.
12. Analyst or any person related to Augmenta may or may not be holding positions in the stocks recommended.
13. Registration granted by SEBI, membership of BASL and certification from NISM in no way guarantee performance of the intermediary or provide any assurance of returns to investors.
14. Disclosure with respect to compliance with Annual compliance audit requirement under Regulation 19(3) of SECURITIES AND EXCHANGE BOARD OF INDIA (INVESTMENT ADVISERS) REGULATIONS, 2013 for last and current financial year are as under –
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