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AMFI Registered Mutual Fund Distributor

Disclosure

Disclosure :  

Oswal Dhan Pvt. Ltd. is AMFI registered mutual fund distributor. (ARN-0910).  

Initial ARN registration date is 23rd Jan 2003 and Current registration is Valid till 19th Jan 2025.  

We suggest investment products keeping in mind the suitability profile of the client. Mutual fund investments are subject to market risks. Returns are not guaranteed in mutual funds. We urge investors to go through offer documents/key information memorandum before deciding to make investments. Investors are encouraged to conduct their own due diligence before making investment decisions. As an AMFI-registered Mutual Fund Distributor, Oswal Dhan Pvt. Ltd deals with ‘Regular’ Plans of the mutual fund schemes. When an investor subscribes to such schemes, Oswal Dhan Pvt. Ltd. is entitled to receive a commission on the same. Oswal Dhan is affiliated with limited number of mutual fund companies/schemes and investors may want to consider alternate products of mutual fund companies before investing with Oswal Dhan. It is also brought to investors’ notice of the general risks and scheme-specific risks associated when investing through mutual funds. The risks that the investor might face include but are not limited to (1) Returns being subject to market risk including loss of capital on account of market volatility, force majeure events, changes in the political and economic environment, default by issuers of securities to mutual funds, bankruptcy or insolvency of issuers and potential segregation of portfolio by AMC in such circumstances. (2) Suspension of redemption facility in case the scheme faces a liquidity crisis. (3) Risks associated with the subscription to a new fund offering of the scheme such as price volatility risk, liquidity risk and delisting risk. (4) Winding up of schemes on account of illiquid instruments, higher volume of redemption requests from the investors or on account of unforeseen market events. 

If you have any complaints, please write to oswaldhan@gmail.com 

Each mutual fund scheme has its own set of risks associated with them. We suggest you to go through the respective schemes offer documents. 

AMC  Fund Name  Sub Category  Trail  Exit Load 
Axis  Axis Focused 25 Fund  Focused  0.93%  12 Months 
Axis  Axis Blue Chip Fund  Large Cap  0.81%  12 Months 
Axis  Axis Midcap Fund  Midcap  0.97%  12 Months 
Axis  Axis Flexi Cap Fund  Flexicap  1.02%  12 Months 
Axis  Axis ELSS Tax Saver Fund  ELSS  0.76%  NIL 
Axis  Axis Small Cap Fund  Small Cap  0.97%  12 Months 
Axis  Axis Ultra Short Term Fund  Low / Ultra  0.72%  NIL 
Axis  Axis Corporate Debt Fund  Medium Duration  0.47%  NIL 
AXIS  Axis Strategic Bond Fund  Medium Duration  0.55%  12 Months 
Bandhan  Bandhan Focused Equity Fund  Flexicap  1.19%  12 Months 
Bandhan  Bandhan Multicap Fund  Flexicap  1.19%  12 Months 
Bandhan  Bandhan Tax Advantage Fund  ELSS  1.02%  36 Months 
Bandhan  Bandhan Sterling Value Fund  Value Fund  1.02%  12 Months 
Bandhan  Bandhan Arbitrage Fund  Arbitrage  0.64%  30 Days 
Bandhan  Bandhan Gilt 2027 Index Fund  Gilt  0.21%  NIL 
Bandhan  Bandhan Bond Fund Short Term Fund  Short Term  0.42%  NIL 
Birla  Birla Frontline Equity Fund  Large Cap  0.89%  3 Months 
Birla  Birla Midcap Fund  Midcap  1.09%  12 Months 
Birla  Birla Pure Value Fund  Value Fund  1.08%  12 Months 
Birla  Birla Digital India Fund  Technology  1.08%  30 Days 
Birla  Birla Low Duration Fund  Low / Ultra  0.76%  NIL 
Canara  Canara Focussed Fund  Focused  1.02%  12 Months 
Canara  Canara Blue Chip Fund  Large Cap  0.85%  12 Months 
Canara  Canara Small Fund  Small Cap  0.64%  12 Months 
Canara  Canara Short Duration Fund  Short Term  0.64%  NIL 
DSP  DSP 100 Fund  Large Cap  1.19%  12 Months 
DSP  DSP Flexicap Fund  Flexicap  1.08%  12 Months 
DSP  DSP Equity Opportunities Fund  Large & Midcap  0.85%  12 Months 
DSP  DSP Floater Fund  Floater  0.21%  NIL 
DSP  DSP Government Securities Fund  Gilt  0.42%  NIL 
DSP  DSP Focused Fund  Focused  0.93%  12 Months 
Edelweiss  Edelweiss Balance Advantage Fund  Balance Advantage  0.93%  12 Months 
Edelweiss  Edelweiss Mid Cap Fund  Midcap  1.19%  12 Months 
Edelweiss  Edelweiss Flexicap Fund  Flexicap  1.27%  12 Months 
Edelweiss  Edelweiss Greater China Fund  International  0.85%  12 Months 
Edelweiss  Edelweiss Large & Mid Cap Fund  Large & Midcap  1.23%  12 Months 
Edelweiss  Edelweiss Arbitrage Fund  Arbitrage  0.59%  30 Days 
Franklin  Franklin India Technology Fund  Technology  0.81%  12 Months 
HDFC  HDFC Focussed 30 Fund  Focused  0.93%  12 Months 
HDFC  HDFC Top 100 Fund  Large Cap  0.81%  12 Months 
HDFC  HDFC Mid Cap Opp Fund  Midcap  0.66%  12 Months 
HDFC  HDFC Flexicap Fund  Flexicap  0.76%  12 Months 
HDFC  HDFC ELSS Tax saver(G)  ELSS  0.76%  NIL 
HDFC  HDFC Small Cap Fund  Small Cap  0.72%  12 Months 
HDFC  HDFC Capital Builder Fund  Value Fund  0.89%  12 Months 
HDFC  HDFC Large & Midcap Fund  Large & Midcap  0.89%  12 Months 
HDFC  HDFC Banking & Financial Services Fund  Banking & Financial  1.06%  12 Months 
HDFC  HDFC Equity Savings Fund  Equity Saving  0.89%  12 Months 
HDFC  HDFC Banking & PSU Debt Fund  Banking & PSU  0.38%  NIL 
HDFC  HDFC Credit Risk Fund  Credit Risk  0.76%  NIL 
HDFC  HDFC Gilt Fund  Gilt  0.38%  NIL 
HDFC  HDFC Low Duration Fund  Low / Ultra  0.59%  NIL 
HDFC  HDFC Ultra Short Term Fund  Low / Ultra  0.30%  NIL 
HDFC  HDFC Medium Term Fund  Medium Duration  0.72%  NIL 
HDFC  HDFC Short Term Fund  Short Term  0.42%  NIL 
ICIC Pru  ICICI Pru Midcap Fund  Midcap  1.02%  12 Months 
ICIC Pru  ICICI Pru Flexicap Fund  Flexicap  0.81%  12 Months 
ICICI Pru  ICICI Pru Asset Allocator Fund  Balance Hybrid  1.06%  12 Months 

 

ICICI Pru  ICICI Pru Balance Advantage Fund  Balance Advantage  0.59%  12 Months 
ICICI Pru  ICICI PRU Focused Equity Fund  Focused  0.93%  12 Months 
ICICI Pru  ICICI Pru Blue Chip Fund  Large Cap  0.59%  12 Months 
ICICI Pru  ICICI Long Term Equity Fund  ELSS  0.81%  36 Months 
ICICI Pru  ICICI Pru Small Cap Fund  Small Cap  1.02%  12 Months 
ICICI Pru  ICICI Pru Value Discovery Fund  Value Fund  0.64%  12 Months 
ICICI Pru  ICICI Pru US Blue Chip Fund  International  1.06%  1 Months 
ICICI Pru  ICICI Pru Large & Midcap Fund  Large & Midcap  0.93%  30 Days 
ICICI Pru  ICICI Banking & Financial Services Fund  Banking & Financial  0.85%  15 Days 
ICICI Pru  CICI Pru Pharma Healthcare & Diagnostics Fund  Pharma  1.06%  15 Days 
ICICI Pru  ICICI Pru Technology Fund  Technology  0.85%  15 Days 
ICICI Pru  ICICI Pru Equity Savings Fund  Equity Saving  0.42%  7 Days 
ICICI Pru  ICICI Pru Equity Arbitrage Fund  Arbitrage  0.47%  30 Days 
ICICI Pru  ICICI Banking & PSU Debt Fund  Banking & PSU  0.25%  NIL 
ICICI Pru  ICICI Credit Risk Fund  Credit Risk  0.68%  12 Months 
ICICI Pru  ICICI Pru Gilt Fund  Gilt  0.51%  NIL 
ICICI Pru  ICICI Pru Ultra Short Term Fund  Low / Ultra  0.34%  NIL 
ICICI Pru  ICICI Pru Savings Fund  Low / Ultra  0.08%  NIL 
ICICI Pru  ICICI All Seasons Bond Fund  Medium Duration  0.59%  0.05% / 1 Mth 
ICICI Pru  ICICI Medium Term Bond Fund  Medium Duration  0.55%  1% / 12 Mth 
ICICI Pru  ICICI Pru Short Term Fund  Short Term  0.59%  NIL 
ICICI Pru  ICICI Floating Rate Interest Fund  Short Term  0.59%  NIL 
Invesco  Invesco India Growth Opp Fund  Flexicap  1.02%  12 Months 
Kotak  Kotak Balanced Advantage Fund  Balance Advantage  1.02%  12 Months 
Kotak  Kotak Focused Equity Fund  Focused  1.19%  12 Months 
Kotak  Kotak Blue Chip Fund  Large Cap  1.10%  12 Months 
Kotak  Kotak Emerging Equity Fund  Midcap  0.97%  12 Months 
Kotak  Kotak Flexicap Fund  Flexicap  0.93%  12 Months 
Kotak  Kotak Tax Saver Fund  ELSS  1.10%  36 Months 
Kotak  Kotak Equity Opp Fund  Large & Midcap  1.02%  12 Months 
Kotak  Kotak Equity Savings Fund  Equity Saving  0.89%  12 Months 
Kotak  Kotak India EQ Contra Fund  Contra  1.27%  12 Months 
Kotak  Kotak Arbitrage Fund  Arbitrage  0.51%  30 Days 
Kotak  Kotak Banking & PSU Debt Fund  Banking & PSU  0.25%  NIL 
Kotak  Kotak Credit Risk Fund  Credit Risk  0.97%  12 Months 
Kotak  Kotak Gilt Fund  Gilt  0.93%  NIL 
Kotak  Kotak Saving Fund  Low / Ultra  0.34%  NIL 
Kotak  Kotak Low Duration Fund  Low / Ultra  0.68%  NIL 
Kotak  Kotak Small Cap Fund  Small Cap  1.06%  12 Months 
Mirae  Mirae Asset Aggressive Hybrid Fund  Hybrid Equity  1.06%  12 Months 
Mirae  Mirae Focused Fund  Focused  0.93%  12 Months 
Mirae  Mirae Asset Large Cap Fund  Large Cap  0.85%  12 Months 
Mirae  Mirae Midcap Fund  Midcap  0.93%  12 Months 
Mirae  Mirae Asset Focused Fund  Flexicap  0.93%  12 Months 
Mirae  Mirae Asset Large & Midcap Fund  Flexicap  0.76%  12 Months 
Mirae  Mirae Asset Tax Saver Fund  ELSS  0.55%  36 Months 
Mirae  Mirae FANG Fund  International  0.38%  NIL 
Mirae  Mirae Asset Healthcare Fund  Pharma  1.27%  12 Months 
Motilal  Motilal Oswal Focused Fund  Focused  1.02%  15 Days 
Motilal  Motilal Oswal Midcap Fund  Midcap  0.81%  15 Days 
Motilal  Motilal Oswl Flexi Cap Fund  Flexicap  0.72%  15 Days 
Motilal  Motilal Nasdaq Fund  International  0.30%  NIL 
Motilal  Motilal S&P 500 Fund  International  0.30%  15 Days 
Nippon  Nippon India Focused Equity Fund  Focused  1.14%  12 Months 
Nippon  Nippon Large Cap Fund  Large Cap  0.93%  7 Days 
Nippon  Nippon India Growth Fund  Midcap  0.97%  30 Days 
Nippon  Nippon Tax Saver Fund  ELSS  1.06%  36 Months 
Nippon  Nippon Small Cap  Small Cap  0.85%  30 Days 
Nippon  Nippon India Value Fund  Value Fund  1.14%  12 Months 
Nippon  Nippon India Banking & Financial Services Fund  Banking & Financial  1.10%  30 Days 
Nippon  Nippon India Pharma Fund  Pharma  1.14%  1 Month 
Nippon  Nippon Nivesh Lakshya Fund  Gilt  0.21%  36 Months 
Nippon  Nippon india Low duration Fund  Low / Ultra  0.55%  NIL 
PGIM  PGIM Midcap Fund  Midcap  0.97%  3 Months 
PGIM  PGIM Global Equity Fund  International  0.85%  90 Days 
PGIM  PGIM Corporate Bond Fund  Medium Duration  0.42%  NIL 
SBI  SBI Balance Advantage Fund  Balance Advantage  0.86%  12 Months 
SBI  SBI Focused Equity Fund  Focused  0.85%  12 Months 
SBI  SBI Blue Chip Fund  Large Cap  0.81%  12 Months 
SBI  SBI Midcap Fund  Midcap  0.91%  12 Months 
SBI  SBI Flexi Cap Fund  Flexicap  0.89%  30 Days 
SBI  SBI Long Term Equity Fund  ELSS  0.86%  36 Months 
SBI  SBI Small Cap Fund  Small Cap  0.86%  12 Months 
SBI  SBI Large & Midcap Fund  Large & Midcap  0.89%  30 Days 
SBI  SBI Banking & Financial Fund  Banking & Financial  1.02%  30 Days 
SBI  SBI Healthcare Opp Fund  Pharma  1.11%  15 Days 
SBI  SBI Technology Opp Fund  Technology  1.05%  15 Days 
SBI  SBI Equity Savings Fund  Equity Saving  0.62%  15 Days 
SBI  SBI Contra Fund  Contra  0.88%  12 Months 
SBI  SBI Banking & PSU Debt Fund  Banking & PSU  0.38%  NIL 
SBI  SBI Magnum Gilt Fund  Gilt  0.45%  NIL 
SBI  SBI Low Duration Fund  Low / Ultra  0.59%  NIL 
SBI  SBI Ultra Short Duration Fund  Low / Ultra  0.21%  NIL 
SBI  SBI Medium Duration Fund  Medium Duration  0.59%  1.50% / 12 Mth 
Tata  Tata Digital India Fund  Technology  0.97%  30 Days 
UTI  UTI Flexicap Fund  Flexicap  0.76%  12 Months 
White Oak  WhiteOak Midcap Fund  Midcap  1.19%  30 Days 
White Oak  White Oak Flexi Cap Fund  Flexicap  1.19%  30 Days 

 

Notes:- Rates mentioned above is exclusive of GST