The details of the commission earned by us from various Asset Management Companies (AMCs) are as below:
Scheme Type | Trail 1st Year | Trail 2nd Year Onwards |
---|---|---|
Arbitrage Funds | 0.05% to 0.60% | 0.05% to 0.60% |
ELSS Funds | 0.50% to 1.25% | 0.50% to 1.25% |
Equity Oriented Funds | 0.50% to 1.25% | 0.50% to 1.25% |
Aggressive Hybrid Equity Funds | 0.50% to 1.25% | 0.50% to 1.25% |
Fixed Maturity Plans | 0.05% to 0.50% | 0.05% to 0.50% |
Fund of Funds | 0.25% to 1% | 0.25% to 1% |
Gilt Funds | 0.25% to 1% | 0.05% to 0.65% |
Hybrid Debt Funds | 0.05% to 0.75% | 0.05% to 0.75% |
Income Funds | 0,05% to 1% | 0,05% to 1% |
Index Funds | 0.01% to 0.75% | 0.01% to 0.75% |
*Investments in mutual funds are subject to market risk and customers should read the scheme-related documents / key information documents of the Mutual Fund products carefully before investing. This is on a best-effort basis and rates are updated as and when actual rates are received from AMCs. This is for information purposes only and does not represent any financial or other advice. The information contained in this presentation is general in nature. The client acknowledges that the prices and net asset values of the mutual fund schemes are subject to fluctuation based on the factors and the forces affecting the capital markets. Past performance of the sponsors, mutual funds, or their affiliates do not indicate or guarantee the future performance of any scheme in any manner, and historical performance, when presented, is purely for reference purposes. This page is an integral part of the document generated by us. Investment proposals are prepared on request of the client for general information and reference purposes. It aims to demonstrate a proposal considering the client’s investment objective and investment preferences designed based on information provided by the client. The proposal is purely on a non-binding basis and the client is free to accept or reject the proposal. We shall not be held responsible for any direct or indirect loss caused by relying on this information. The client is free to seek the opinion of the legal, investment, and taxation advisor for making investment decisions.
Financial Orchard is a AMFI Registered Mutual Fund Distributor | ARN: 122627 | Date of Registration: 20/06/2017 | Current Validity: 25/04/2026
Disclaimer: Mutual fund investments are subject to market risks. Please read the scheme information and other related documents carefully before investing. Past performance is not indicative of future returns. Please consider your specific investment requirements before choosing a fund, or designing a portfolio that suits your needs.
Financial Orchard makes no warranties or representations, express or implied, on products offered through the platform of Financial Orchard. It accepts no liability for any damages or losses, however, caused, in connection with the use of, or on the reliance of its product or related services. Terms and conditions of the website are applicable. Investments in Securities markets are subject to market risks, read all the related documents carefully before investing.