Scheme Type | Trail commission (% p.a) | |
---|---|---|
Year 1 | Year 2 Onwards | |
Liquid/Ultra Short Term Schemes | 0.05% – 0.1% | 0.05% – 0.1% |
Low duration /Short Term Income Funds | 0.15% – 0.80% | 0.15% – 0.80% |
Corporate bonds/ banking & PSU / credit risk | 0.35% – 0.80% | 0.35% – 0.80% |
Gilt Funds / long duration | 0.35% – 0.80% | 0.35% – 0.80% |
Hybrid Debt/Monthly Income Plans | 0.5% – 1.0% | 0.5% – 1.0% |
Arbitrage Funds | 0.15% – 0.5% | 0.15% – 0.5% |
Fund of Funds | 0.25% – 0.50% | 0.25% – 0.50% |
ELSS | 0.5% – 1.6% | 0.5% – 1.6% |
Index Funds | 0.1% – 0.6% | 0.1% – 0.6% |
Equity/ Hybrid Equity/ Balance Funds | 0.5% – 1.60% | 0.5% – 1.60% |
- These are the brokerage rates offered to us by the assets management companies.
- This is on a best effort basis and rates are updated as and when actual rates are received from AMCs.
Risk Factors – Investments in Mutual Funds are subject to Market Risks. Read all scheme related documents carefully before investing. Mutual Fund Schemes do not assure or guarantee any returns. Past performances of any Mutual Fund Scheme may or may not be sustained in future. There is no guarantee that the investment objective of any suggested scheme shall be achieved. All existing and prospective investors are advised to check and evaluate the Exit loads and other cost structure (TER) applicable at the time of making the investment before finalizing on any investment decision for Mutual Funds schemes. We deal in Regular Plans only for Mutual Fund Schemes and earn a Trailing Commission on client investments. Disclosure For Commission earnings is made to clients at the time of investments. We are not a Registered Investment Advisor and we do not change any fee to our clients.
AMFI Registered Mutual Fund Distributor | ARN- 16709 | Date of initial Registration: 28/03/2003| Current validity: 04/01/2025
Disclosure | SID/SAI/KIM | AMFI Risk Factors | Code of Conduct | Grievance Redressal