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Annual compliance audit report

Disclosure with respect to compliance with the annual compliance audit requirement under Regulation 19(3) of the Securities and Exchange Board of India (Investment Advisers) Regulations, 2013.

Financial yearCompliance audit statusRemarks, if any
FY 2024-25ConductedNone
FY 2023-24ConductedNone
FY 2022-23ConductedNone
FY 2021-22ConductedNone
FY 2020-21Not applicableRIA licence granted in FY 2021-22

Regulatory disclosure

GYR Financial Planners Private Limited

Registration
SEBI Registered Investment Adviser
Category
Non-Individual Investment Adviser
Registration no.
INA000015996
Validity
Perpetual — valid till suspended or cancelled
BSE enlistment no.
1016
AMFI registration
ARN-96717
Principal Officer
Rohit Shah · hello@gyrfp.com
Compliance Officer
Dhiren Dharamshi · dhiren@gyrfp.com
Telephone
+91 98205 29758
Registered office
201 Corporate Arena, Sitaram Patkar Marg, Piramal Nagar, Goregaon (W), Mumbai 400 104
Complaints data for the month ending August 2026
Received fromPending at end of last monthReceivedResolved*Total pending#Pending > 3 monthsAverage resolution time^ (days)
Directly from investors000000
SEBI SCORES000000
Other sources000000
Grand total000000

*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 the total number of complaints resolved in the current month.

Associated SEBI office: SEBI Bhavan BKC, Plot No. C4-A, ‘G’ Block, Bandra-Kurla Complex, Bandra (E), Mumbai – 400 051. Toll-free investor helpline 1800 22 7575.

Registration granted by SEBI, enlistment with BSE as the Investment Adviser Administration and Supervisory Body, and certification from NISM in no way guarantee performance of the intermediary or provide any assurance of returns to investors.