Regulatory Disclosures & Disclaimers

Regulatory Body / Registration Type 

Name Of Entity 

Registration No 

SEBI 

Simplus Wealth Managers Pvt Ltd) 

INA000022987 

BSE Enlistment No 

Simplus Wealth Managers Pvt Ltd) 

2554 

 

AMFI – Mutual Fund Distribution 

MintBox Fintech Private Limited 

ARN-281018 

APMI - PMS Distributor 

MintBox Fintech Private Limited 

APRN04449 

 

Simplus Wealth Managers Private Limited: Non Individual SEBI registered Investment Advisors | RIA NO: INA000022987 | Validity: 16th July 2026 – Perpetual | BSE Enlistment No.: 2554 | CIN No: U66190MH2026PTC466280 | Registered Office: Fl.No.304-B Kanyakpuram Apartment, Dabha, Wadi, Nagpur, Maharashtra, 440023. Contact us:7758813993, support@mintit.in 

Principal Officer - Ajay Patwari, Email id: ajay@MINTIT.in, 7722046442 

Compliance Officer -Geetika Maheshwari, email id: geetika@MINTIT.in 

 MintBox Fintech Private Limited: AMFI Registered Mutual Fund Distributor, ARN281018 (holding company of Simplus Wealth Managers Private Limited). 

 

Disclaimer

 

 General Information 

This document has been prepared by Simplus Wealth Managers Private Limited, having its registered office at Fl No 304 B, Kanyakapuram Appartment, Dabha, Waddhamna, Hingna, Nagpur-440023 as a SEBI registered Non-Individual Investment Adviser having SEBI registration number INA000022987 and BSE Enlistment Number 2554, being a wholly owned subsidiary of MintBox Fintech Private Limited, having its registered office at Fl No 304 B, Kanyakapuram Appartment, Dabha, Waddhamna, Hingna, Nagpur-440023, Maharashtra, as an AMFI-registered mutual fund distributor, having AMFI registration number ARN-281018, (hereinafter collectively referred to as "Group," “MINTIT”, "We," "Us,” or "Our,” whose expression shall include its affiliates, subsidiaries, successors and assigns).The information provided on the website www.mintit.in (the “Website”) and the mobile application (“MINTIT APP”) collectively referred to as the (“Platform”). is for general informational purposes only and is subject to change without notice. 

Standard Disclaimer: 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 

General Disclaimer: . Investments in securities market are subject to market risks. Read all the related documents carefully before investing. 

 Related-party / conflict of interest disclosure: Simplus Wealth Managers Pvt Ltd is a wholly-owned subsidiary of MintBox Fintech  Private Limited, an AMFI registered mutual fund distributor. MintBox Fintech  Private Limited earns distribution commission on mutual fund schemes. Simplus Wealth Managers Pvt Ltd  provides advisory services on a fee only basis and does not receive any commission, brokerage or consideration from any product manufacturer or distributor in respect of its advisory clients. A client of Simplus Wealth Managers Pvt Ltd may choose any execution route and is under no obligation to transact through MintBox Fintech  Private Limited or any group entity. 

 Investment Advisory services rendered by MINTIT as a SEBI-registered Investment Adviser does not guarantee or assure any specific returns. Advice is based on the risk profile, financial situation and objectives disclosed by you at the time of risk profiling, and past performance of any recommendation is not indicative of its future performance. You are advised to promptly inform MINTIT of any material change in your financial situation or objectives so that the advice given remains suitable. 

 No Advice: Prospective investors should review / study the Scheme Information Document(s) of the Fund(s) carefully and in its entirety and shall not construe the contents thereof or regard the summaries contained therein or information contained in this website as advice relating to financial/tax/investment matters and are advised to consult their own professional advisor. The content on this Platform does not constitute financial, investment, trading, or any other advice. The foregoing applies to general content, tools and information made available on the Platform in MINTIT's capacity as a mutual fund distributor. It does not apply to personalised advice furnished by MINTIT in its capacity as a SEBI-registered Investment Adviser under a duly executed Investment Advisory Agreement, which advice is based on your specific risk profile, financial situation and stated investment objectives. 

Accuracy of Information: While MINTIT strives to ensure that the information on this Platform is accurate and up-to-date, we make no representations or warranties of any kind, express or implied, about the completeness, accuracy, reliability, suitability, or availability of the website, mobile app, or the information, products, services, or related graphics contained on the Platform for any purpose. Any reliance you place on such information is strictly at your own risk. 

 While all efforts have been made to make the authenticity of this Platform, please refer to the print versions and notified Gazette copies of Acts/Rules/Regulations for authentic versions or for use before any authority. We will not be responsible for any loss to any person/entity caused by any shortcoming, defect or inaccuracy inadvertently or otherwise present on this Platform. 

 Third-Party Links: This Platform may contain links to third-party websites or services that are not owned or controlled by MINTIT, and MINTIT assumes no responsibility for, the content, privacy policies, or practices of any third-party websites or services. You further acknowledge and agree that MINTIT shall not be responsible or liable, directly or indirectly, for any damage or loss caused or alleged to be caused by or in connection with use of or reliance on any such content, goods, or services available on or through any such websites or services. 

 Risk Disclaimer 

  1. Mutual funds, like securities investments, are subject to market and other risks, and there can be no assurance that the objectives of any of the schemes of the Fund will be achieved. Please read the Offer Document carefully in its entirety before making an investment decision. 
  1. The NAV (Net Asset Value) of units issued under the Schemes of mutual funds can go up or down depending on the factors and forces affecting capital markets and may also be affected by changes in the general level of interest rates. The NAV of the units issued under the scheme may be affected, inter-alia by changes in the interest rates, trading volumes, settlement periods, transfer procedures and performance of individual securities. The NAV will inter-alia be exposed to Price / Interest Rate Risk and Credit Risk. 
  1. The past performance of any scheme of the Mutual fund does not indicate the future performance of the Schemes of the Mutual Fund. MINTIT shall not be responsible or liable for any loss or shortfall incurred by the investors. 
  1. Investors are not being offered any guaranteed or assured rate of return through this Platform. 
  1. Furthermore, the selection of the Mutual Funds for inclusion in the indicative portfolio does not constitute a recommendation by MINTIT regarding the prospects or performance of these Mutual Funds. 

 Limitation of Liability 

MINTIT shall not be held liable under any circumstances for any losses or damages, including but not limited to indirect or consequential losses or damages, arising from or in connection with the use of this Platform. This includes any loss of personal data or profits. Users acknowledge and accept that their use of the Platform is at their own risk, and MINTIT disclaims any responsibility for such losses or damages that may result directly or indirectly from using the Platform. 

 Governing Law 

These terms and conditions are governed by and construed in accordance with the laws of India. Any disputes relating to these terms and conditions will be subject to the exclusive jurisdiction of the courts of Nagpur. 

 Contact Us 

If you have any questions about this disclaimer, please contact us at helpdesk@MINTIT.in 

 Complaint Status 

 Data for the month ending August, 2026 

 

Sr. No. 

Received from 

Pending at the end of last month 

Received 

Resolved* 

Total Pending 

# 

Pending complaints> 3months 

Average Resolution time^ (in days) 

1 

Directly from Investors 

0 

0 

0 

0 

0 

0 

2 

SEBI (SCORES) 

0 

0 

0 

0 

0 

0 

3 

Other Sources (if any) 

0 

0 

0 

0 

0 

0 

 

Grand Total 

0 

0 

0 

0 

0 

0 

 

* Inclusive of complaints of previous months resolved in the current month. 

# Inclusive of complaints pending as on the last day of the month. 

^ Average Resolution time is the sum total of time taken to resolve each complaint, in days, in the current month divided by total number of complaints resolved in the current month. 

 

Trend of monthly disposal of complaints 

Sr. No. 

Month 

Carried forward from previous month 

Received 

Resolved* 

Pending# 

1 

April, 2026 

NA 

NA 

NA 

NA 

2 

May, 2026 

NA 

NA 

NA 

NA 

3 

June, 2026 

NA 

NA 

NA 

NA 

4 

July, 2026 

NA 

NA 

NA 

NA 

5 

August, 2026 

0 

0 

0 

0 

 

Grand Total 

0 

0 

0 

0 

*Inclusive of complaints of previous months resolved in the current month. 

#Inclusive of complaints pending as on the last day of the month. 

 

Trend of annual disposal of complaints 

Sr. No. 

Year 

Carried forward from previous year 

Received 

Resolved* 

Pending# 

1 

2025-2026 

0 

0 

0 

0 

2 

2024-2025 

NA 

NA 

NA 

NA 

3 

2023-2024 

NA 

NA 

NA 

NA 

4 

2022-2023 

0 

0 

0 

0 

 

Grand Total 

0 

0 

0 

0 

 

*Inclusive of complaints of previous years resolved in the current year. 

#Inclusive of complaints pending as on the last day of the year. 

 Compliance Audit Status 

 As communicated by BSE to all IAs, please update below on your website. The same be added in any page of your choice. 

 Disclosure with respect to compliance with Annual compliance audit requirement under Regulation 19(3) of SEBI (Investment Advisers) Regulations, 2013 for last financial years are as under: 

Sr. no 

Financial Year 

Compliance Audit Status 

Remarks, If any 

1 

FY 2025-26 

NA 

NA 

 Commission Disclosure by Mutual Fund Distributor: MintBox Fintech Private Limited 

MintBox Fintech Private Limited is AMFI-registered Mutual Fund Distributor having Registration Number ARN-281018. In accordance with the SEBI circular: SEBI/IMD/CIR No. 4/ 168230/09 on Distribution of Mutual Funds following are the details of the commission paid by the AMCs to the Mutual Fund Distributors only for the Regular Mutual Funds. (Click here).  

All Direct Mutual Funds are commission-free.