Commission Disclosure

FinEdge offers mutual fund investments through regular plans. In regular plans, FinEdge receives trail commission from Asset Management Companies as part of the mutual fund expense structure.

This page provides AMC-wise trail commission ranges for regular mutual fund plans distributed by FinEdge. The purpose is to help investors understand how the regular-plan model works and how FinEdge is compensated.

AMFI Registration
ARN 83676
Financial Edge Fintech Pvt. Ltd.
Model
Regular mutual fund plans
Commission embedded in TER.
Client Payment
No separate advisory fee
For mutual fund investment support through regular plans.

Trail Commission Disclosure

The card disclosures below show the trail commission ranges disclosed by AMCs whose schemes FinEdge distributes. These ranges are indicative, may vary by scheme and category, and are subject to change based on AMC disclosures, scheme addendums and applicable regulations.

Clients do not pay FinEdge a separate advisory fee for mutual fund investment support through regular plans. The cost of guidance, service, portfolio reviews, reporting, technology access and ongoing support is embedded within the regular-plan structure.

AMC-Wise Commission Ranges

Showing 31 of 31 AMCs

  • 360 ONE Mutual Fund

    #1
    Equity Funds
    0.40% – 1.10%
    Debt Funds
    0.40% – 0.75%
    Liquid Funds
    0.05%
  • Abakkus Mutual Fund

    #2
    Equity Funds
    Up to 1.10%
    Debt Funds
    Not applicable
    Liquid Funds
    0.70%
  • Aditya Birla Sun Life Mutual Fund

    #3
    Equity Funds
    0.25% – 0.70%
    Debt Funds
    0.13% – 0.50%
    Liquid Funds
    0.07%
  • Axis Mutual Fund

    #4
    Equity Funds
    0.20% – 1.31%
    Debt Funds
    0.34% – 0.72%
    Liquid Funds
    0.08%
  • Bajaj Finserv Mutual Fund

    #5
    Equity Funds
    0.20% – 1.31%
    Debt Funds
    0.34% – 0.72%
    Liquid Funds
    0.08%
  • Bandhan Mutual Fund

    #6
    Equity Funds
    0.40% – 1.16%
    Debt Funds
    0.21% – 0.94%
    Liquid Funds
    0.09%
  • Bank of India Mutual Fund

    #7
    Equity Funds
    1.20% – 1.45%
    Debt Funds
    0.40% – 0.70%
    Liquid Funds
    0.04%
  • Canara Robeco Mutual Fund

    #8
    Equity Funds
    0.20% – 1.31%
    Debt Funds
    0.34% – 0.72%
    Liquid Funds
    0.08%
  • DSP Mutual Fund

    #9
    Equity Funds
    0.95% – 1.30%
    Debt Funds
    0.40% – 0.70%
    Liquid Funds
    0.10%
  • Edelweiss Mutual Fund

    #10
    Equity Funds
    0.34% – 1.60%
    Debt Funds
    0.40% – 0.70%
    Liquid Funds
    0.10%
  • Franklin Templeton Mutual Fund

    #11
    Equity Funds
    0.40% – 1.65%
    Debt Funds
    0.04% – 0.75%
    Liquid Funds
    0.10%
  • HDFC Mutual Fund

    #12
    Equity Funds
    0.12% – 1.07%
    Debt Funds
    0.16% – 0.63%
    Liquid Funds
    0.085%
  • HSBC Mutual Fund

    #13
    Equity Funds
    0.35% – 1.10%
    Debt Funds
    0.40% – 0.70%
    Liquid Funds
    0.10%
  • ICICI Prudential Mutual Fund

    #14
    Equity Funds
    0.30% – 0.90%
    Debt Funds
    0.12% – 0.60%
    Liquid Funds
    0.15%
  • Invesco Mutual Fund

    #15
    Equity Funds
    1.00% – 1.41%
    Debt Funds
    0.40% – 0.70%
    Liquid Funds
    0.034%
  • ITI Mutual Fund

    #16
    Equity Funds
    0.30% – 1.20%
    Debt Funds
    0.20% – 0.70%
    Liquid Funds
    0.07%
  • Kotak Mutual Fund

    #17
    Equity Funds
    0.15% – 1.50%
    Debt Funds
    0.20% – 1.05%
    Liquid Funds
    0.16%
  • LIC Mutual Fund

    #18
    Equity Funds
    0.35% – 1.10%
    Debt Funds
    0.40% – 0.70%
    Liquid Funds
    0.10%
  • Mahindra Manulife Mutual Fund

    #19
    Equity Funds
    0.35% – 1.10%
    Debt Funds
    0.40% – 0.70%
    Liquid Funds
    0.10%
  • Mirae Asset Mutual Fund

    #20
    Equity Funds
    0.20% – 1.31%
    Debt Funds
    0.34% – 0.72%
    Liquid Funds
    0.08%
  • Motilal Oswal Mutual Fund

    #21
    Equity Funds
    0.10% – 1.30%
    Debt Funds
    Not applicable
    Liquid Funds
    Not applicable
  • Nippon India Mutual Fund

    #22
    Equity Funds
    0.25% – 0.70%
    Debt Funds
    0.13% – 0.50%
    Liquid Funds
    0.07%
  • PGIM India Mutual Fund

    #23
    Equity Funds
    0.30% – 1.20%
    Debt Funds
    0.20% – 0.70%
    Liquid Funds
    0.07%
  • PPFAS Mutual Fund

    #24
    Equity Funds
    0.30% – 0.65%
    Debt Funds
    Not applicable
    Liquid Funds
    0.07%
  • Quant Mutual Fund

    #25
    Equity Funds
    0.60% – 1.40%
    Debt Funds
    0.90%
    Liquid Funds
    0.05%
  • SBI Mutual Fund

    #26
    Equity Funds
    0.33% – 1.11%
    Debt Funds
    0.24% – 0.78%
    Liquid Funds
    0.09%
  • Sundaram Mutual Fund

    #27
    Equity Funds
    0.30% – 1.20%
    Debt Funds
    0.20% – 0.70%
    Liquid Funds
    0.07%
  • Tata Mutual Fund

    #28
    Equity Funds
    0.25% – 1.20%
    Debt Funds
    0.20% – 0.60%
    Liquid Funds
    0.05%
  • Taurus Mutual Fund

    #29
    Equity Funds
    0.40% – 1.40%
    Debt Funds
    0.20% – 0.60%
    Liquid Funds
    0.07%
  • UTI Mutual Fund

    #30
    Equity Funds
    0.60% – 1.60%
    Debt Funds
    0.20% – 1.18%
    Liquid Funds
    0.05%
  • WhiteOak Capital Mutual Fund

    #31
    Equity Funds
    1.00% – 1.65%
    Debt Funds
    0.50%
    Liquid Funds
    0.10%

Important Notes

  • Commission ranges are indicative and based on the most recent disclosures available to FinEdge.
  • Actual commission may vary by scheme, plan, category, AMC, expense structure, investment value and time period.
  • Commission is paid by the AMC to FinEdge as part of the regular-plan expense structure. It is not charged separately to the client by FinEdge.
  • FinEdge does not recommend funds based on commission. Fund selection is based on the investor’s goals, time horizon, cash flows, risk requirements and portfolio context.
  • Investors should read the Scheme Information Document, Key Information Memorandum, Statement of Additional Information and all scheme-related documents before investing.

Scheme Documents

For Scheme Information Documents, Key Information Memorandums and Statement of Additional Information for schemes from the above AMCs, investors may refer to SEBI’s mutual fund filings page.

View SID / KIM / SAI on SEBI

Disclaimer

Mutual fund investments are subject to market risks. Please read all scheme-related documents carefully before investing. Past performance is not a guarantee of future returns. Commission ranges shown on this page are indicative and based on disclosures available to FinEdge. Actual commission may vary by scheme, category, AMC, expense structure, investment value and time period. FinEdge does not guarantee returns, capital protection or achievement of financial goals. Investment decisions should be based on the investor’s goals, time horizon, risk requirements, cash flows, portfolio structure, behaviour and suitability.