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Ncome Growth Multi-Manager FoF Scheme ING Optimix 5 Star Multi-Manager FoF Scheme ING Optimix Global Commodities Fund ING Optimix Multi Manager Equity Fund ING Global Real Estate Fund ING Latin America Equity Fund An Open Ended Fund of Fund Scheme An Open Ended Fund of Fund Scheme An Open Ended Fund of Fund Scheme An Open Ended Fund of Fund Scheme An Open Ended Fund of Fund Scheme An Open Ended Diversified Equity Scheme An Open Ended Fund of Fund Scheme An Open Ended Fund of Fund Scheme CONTIN.

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How to fill out the COMBINED SCHEME INFORMATION DOCUMENT (MULTI MANAGER SCHEMES) online

This guide provides essential steps for effectively completing the Combined Scheme Information Document (Multi Manager Schemes) online. Designed for users of all experience levels, this resource will help you navigate each section of the form with clarity and confidence.

Follow the steps to complete the form accurately and efficiently.

  1. Click ‘Get Form’ button to obtain the Combined Scheme Information Document and open it in the editor for completion.
  2. Begin by filling in the Scheme Name, selecting from the list provided in the document.
  3. Specify the Type of Scheme in the designated field, ensuring it matches your chosen scheme.
  4. Provide information on the Asset Management Company, including its name and registration details.
  5. Fill in the Trustees' details, including their names and addresses, as stated in the document.
  6. Refer to the address and website of the entities involved as you fill in this section.
  7. Complete the Investment Objectives and Policies of the chosen scheme, based on your understanding.
  8. Review and include relevant details under the 'Risks' section, ensuring all known risks are articulated clearly.
  9. Fill in other pertinent sections that relate to the Scheme Information Document, including fees and expenses.
  10. Finally, save changes, and opt to download, print, or share the completed document as needed.

Get started now by filling out the Combined Scheme Information Document online!

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New Fund Offers (NFOs) are launched by Asset Management Companies (AMCs) to introduce new mutual fund schemes. AMCs design and manage these funds, offering investors an opportunity to invest in the initial phase. NFOs typically come with a fixed subscription period, after which they open for regular investment.

An NFO allows a mutual fund house to raise the money required to purchase stocks or debt instruments. AMCs generally offer a subscription period between ten (10) and fifteen (15) days for customers to buy units at INR 10 per unit NAV. AMCs issue units to investors on a first-come, first-serve basis.

Can we withdraw money from NFO? No, it is not possible to withdraw money when an NFO is open because it is a period where investors buy units in a new mutual fund scheme. However, you can exit later by selling the units on the stock exchange, or wait till the end of the maturity period.

90% of the times - Avoid an NFO No track record - A lack of track record makes it difficult to evaluate the performance of the fund across market cycles. The risk you take in an NFO is much higher than when you go for a fund that has already been around for a few years and built up a history.

New fund offerings allow individuals to procure units of a mutual fund before its NAV has been determined, thereby allowing them to gain profits in the long run. After a mutual fund starts operating, investors have to pay the respective net asset value for obtaining each unit of the fund.

What types of mutual funds are there? Most mutual funds fall into one of four main categories – money market funds, bond funds, stock funds, and target date funds.

SAI shall be updated within 3 months from end of financial year and filed with SEBI. ii. Any material changes in the SAI shall be made on an ongoing basis by way of updation on the Mutual Fund and AMFI website. SEBI shall be intimated of the changes made in the SAI within 7 days.

Scheme Information Document (SID) is a document that provides investors with all the necessary information about a mutual fund scheme. It includes details such as minimum subscription amounts, exit and entry loads, SIP details, fund managers and their experience, risk level, the scheme's objective, etc.

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© Copyright 1997-2025
airSlate Legal Forms, Inc.
3720 Flowood Dr, Flowood, Mississippi 39232
Form Packages
Adoption
Bankruptcy
Contractors
Divorce
Home Sales
Employment
Identity Theft
Incorporation
Landlord Tenant
Living Trust
Name Change
Personal Planning
Small Business
Wills & Estates
Packages A-Z
Form Categories
Affidavits
Bankruptcy
Bill of Sale
Corporate - LLC
Divorce
Employment
Identity Theft
Internet Technology
Landlord Tenant
Living Wills
Name Change
Power of Attorney
Real Estate
Small Estates
Wills
All Forms
Forms A-Z
Form Library
Customer Service
Terms of Service
Privacy Notice
Legal Hub
Content Takedown Policy
Bug Bounty Program
About Us
Blog
Affiliates
Contact Us
Delete My Account
Site Map
Industries
Forms in Spanish
Localized Forms
State-specific Forms
Forms Kit
Legal Guides
Real Estate Handbook
All Guides
Prepared for You
Notarize
Incorporation services
Our Customers
For Consumers
For Small Business
For Attorneys
Our Sites
US Legal Forms
USLegal
FormsPass
pdfFiller
signNow
airSlate WorkFlow
DocHub
Instapage
Social Media
Call us now toll free:
+1 833 426 79 33
As seen in:
  • USA Today logo picture
  • CBC News logo picture
  • LA Times logo picture
  • The Washington Post logo picture
  • AP logo picture
  • Forbes logo picture
© Copyright 1997-2025
airSlate Legal Forms, Inc.
3720 Flowood Dr, Flowood, Mississippi 39232