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Disclaimer and Disclosure

Miteshkumar Rameshbhai Patel and Jash Miteshkumar Patel operate as a Mutual Fund Distributor registered with AMFI.

ARN Disclosure

Name Miteshkumar Rameshbhai Patel Jash Miteshkumar Patel
AMFI Registration No ARN-21946 ARN-189940
Date of Initial Registration May 29, 2004 November 15, 2018
Current Validity of ARN From May 29, 2026 to May 28, 2029 From April 07, 2024 to September 30, 2027
APRN Registration No – APRN02076
APMI – Date of Initial Registration – July 14, 2023
APMI – Current Validity of APRN – From July 14, 2026 to July 13, 2029

Miteshkumar Rameshbhai Patel and Jash Miteshkumar Patel both act as AMFI-Registered Mutual Fund Distributors.

Scheme Documents (SID / KIM / SAI)

Investors are advised to refer to the official scheme documents, including the Scheme Information Document (SID), Key Information Memorandum (KIM), and Statement of Additional Information (SAI), before making any investment decisions.

These documents are available on the respective AMC websites and on the SEBI website.

Access Scheme Documents on SEBI Website →

Risk Disclosure

Mutual Fund investments are subject to market risks. The value of investments may go up or down depending on market conditions.

Past performance is not indicative of future results. There is no assurance that the investment objective of any scheme will be achieved. Investors are advised to read all scheme-related documents carefully before investing.

Commission Disclosure

Miteshkumar Rameshbhai Patel and Jash Miteshkumar Patel act as Mutual Fund Distributors and do not offer SEBI-registered investment advisory services.

They receive commissions from Asset Management Companies (AMCs) for the distribution of mutual fund schemes. These commissions are embedded in the Total Expense Ratio (TER) of the schemes and are not charged separately to investors.

Commission structures vary across AMCs and scheme categories, and are subject to change from time to time. Applicable taxes, including GST, are charged as per prevailing regulations.

Indicative Trail Commission Range

Scheme Category Trail Commission Range
Equity Schemes 0.35% – 1.20%
Hybrid Schemes 0.10% – 1.10%
ELSS 0.35% – 1.10%
Index Funds 0.05% – 0.60%
Arbitrage Funds 0.10% – 0.80%
Liquid Overnight Funds 0.02% – 0.10%
Debt Schemes 0.10% – 0.80%

AMC-wise Brokerage Structure

AMC Name Brokerage Structure
Aditya Birla Sun Life Mutual Fund View Structure →
Axis Mutual Fund View Structure →
Canara Robeco Mutual Fund View Structure →
DSP Mutual Fund View Structure →
Franklin Templeton Mutual Fund View Structure →
HDFC Mutual Fund View Structure →
HSBC Mutual Fund View Structure →
ICICI Prudential Mutual Fund View Structure →
Kotak Mutual Fund View Structure →
Nippon India Mutual Fund View Structure →
PGIM India Mutual Fund View Structure →
SBI Mutual Fund View Structure →
Sundaram Mutual Fund View Structure →
Tata Mutual Fund View Structure →
UTI Mutual Fund View Structure →

Investor Grievance Redressal Mechanism

In case of any grievance related to services, investors may reach out through the following escalation levels:

Level 1

Submit Grievance:

Investor Grievance Form →

Kindly inform the office after submission to help us resolve the matter promptly.

Level 2

If the query, complaint, or request is not resolved through the above channels within a reasonable time, the matter may be escalated to:

Contact: +91 9824658453

You may reach out via Call or WhatsApp.

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302, Uma Darshan Arcade, Kaliawadi Road, Kabilpore, Navsari, Gujarat 396424, India

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Mutual Fund investments are subject to market risks.

Please read all scheme related documents carefully before investing.

© AMFI - Registered Mutual Fund Distributor - Miteshkumar Rameshbhai Patel (ARN-21946) | Jash Miteshkumar Patel (ARN-189940)