Risify Funds Pvt Ltd is offered commissions for investment made under broker code ARN-311352. Any commission receivable is also subject to claw back as per the guidelines set by regulator, interpreted and laid down by AMCs.
In accordance with the SEBI circular: SEBI/IMD/CIR No. 4/ 168230/09 and RBI guidelines on Marketing/Distribution of Mutual Funds following are the details of commissions earned by Risify Funds Pvt Ltd.
| Fund Schemes | Trail (Base) |
|---|---|
| Equity Schemes | |
| Equity Funds | 0.05% to 1.49% |
| ELSS Funds | 0.20% to 1.50% |
| Hybrid Schemes | |
| Asset Allocation Funds | 0.23% to 1.53% |
| Arbitrage Funds | 0.09% to 0.89% |
| Hybrid Funds | 0.10% to 1.45% |
| Debt Schemes | |
| Gilt Funds | 0.10% to 0.93% |
| Income & Bond Funds | 0.02% to 1.11% |
| Short Term Funds | 0.23% to 0.75% |
| Liquid & Floating Rate | 0.02% to 0.39% |
| Other Schemes | |
| Index Funds | 0.01% to 0.70% |
For scheme wise commission on Mutual Funds, click here
This is on a best effort basis and rates are updated as and when actual rates are received from AMCs
Risify Funds Private Limited is hereinafter referred to as "Risify Wealth". Risify Wealth is an AMFI-registered Mutual Fund Distributor bearing AMFI Registration No. 311352, valid from 11 October 2024 to 10 October 2027.
Risify Wealth is also registered with APMI under Registration No. APRN05107and is engaged in the distribution of third-party financial products and/or acts as a referral agent for third-party financial products and services, including Mutual Funds, Portfolio Management Services (PMS), Alternative Investment Funds (AIFs), and other Investment Products. Risify Wealth does not provide investment advisory services in any manner or form.