|
All
investments in mutual funds and
securities are subject to market
risks and the NAV of the Schemes
of the Fund may go up or down
depending upon the factors and
forces affecting the securities
market. Investment in mutual
fund units involves investment
risks such as trading volumes,
settlement risk, liquidity risk,
default risk including the
possible loss of principal. Past
performance of the
Sponsor/AMC/Mutual Fund does not
guarantee future performance of
the Schemes. The Sponsor is not
responsible or liable for any
loss resulting from the
operation of the Schemes beyond
the initial contribution of Rs.
1 lakh made by it towards
setting up the Fund. The names
of the Schemes/Plans/Mutual Fund
do not in any manner indicate
either the quality of the
Schemes or its future prospects
and returns; and are only the
names of the Schemes/Plans.
There can be no assurance that
the objectives of the
Schemes/Plans/Mutual Fund will
be achieved. Schemes specific
risk factors: Investment in the
Schemes shall be subject to
various risks including but not
limited to risk associated with:
Investment in Equity and Equity
related Instruments & Bonds such
as Performance Risk, Credit
Risk, Reinvestment Risk,
Interest Rate Risk, Investment
in Derivatives, Securitised
Debt, etc. Please read the
Scheme Information Document and
Statement of Additional
Information carefully before
investing. |