We receive commissions from Asset Management Companies for investments made under the code of Mr Sachin Gupta (ARN-314360). The commission receivable is subject to and as per the guidelines laid down by SEBI and the Asset Management Companies. In accordance with the SEBI circular: SEBI/IMD/CIR No. 4/ 168230/09, the details of Scheme wise commission earned by Mr Sachin Gupta (ARN-314360) from various Asset Management Companies (AMCs) are as
| City Category | T-30 Cities |
| Fund Schemes | Trail |
| Equity Schemes | |
| Large Cap | 0.30% to 1.85% |
| Multi Cap / Large & Mid Cap | 0.30% to 1.85% |
| Mid Cap | 0.30% to 1.85% |
| Small Cap | 0.30% to 1.85% |
| Focused Equity | 0.30% to 1.85% |
| Sectoral/Thematic | 0.30% to 1.85% |
| Hybrid Schemes | |
| Conservative Hybrid | 0.20% to 1.15% |
| Aggressive Hybrid | 0.40% to 1.70% |
| Dynamic Asset Allocation/Balanced Advantage | 0.40% to 1.35% |
| Arbitrage | 0.30% to 0.90% |
| Equity Savings | 0.40% to 1.20% |
| Debt Schemes | |
| Liquid | 0.03% to 0.15% |
| Low Duration / Ultra Short Duration | 0.10% to 1.00% |
| Short Duration/Medium Duration | 0.15% to 0.80% |
| Corporate Bond | 0.15% to 1.00% |
| Dynamic Bond | 0.35% to 1.30% |
| Credit Risk | 0.35% to 1.20% |
| Banking and PSU | 0.30% to 1.00% |
| Gilt | 0.30% to 1.40% |
| Medium to Long Duration | 0.30% to 1.30% |
| Fixed Maturity Plans | 0.10% to 0.75% |
The above commission details are a broad range for different categories of mutual funds done by us. Details of the scheme-level commission on Mutual funds are available by clicking here.
Scheme-level commission details are also available with the relationship managers.
This is on a best effort basis, and commission rates are updated as and when actual rates are received from AMCs.
We agreed on the above-mentioned rates with their respective AMCs and reserve the right to change them without prior consent.
We will not be responsible for notifying customers of any change to this Schedule of Commission other than by posting the information on this website. The commission details will be updated regularly on this website, and customers are advised to check them before making any investment.
We are an AMFI-registered mutual fund distribution. The date of initial registration with AMFI is 26/11/2024, and the Current Validity of ARN is 21/11/2027
