Disclosures
 
Commission Disclosure
 
As per SEBI circular : SEBI/IMD/CIR No. 4/ 168230/09, following are the details of the comparative commission earned by Imperial International from various fund-houses. 
 
Scheme Type Up-Front Trail-1st Year Trail 2nd Year onwards
Liquid / Ultra Short Term Schemes 00.0% - 0.05% 0.20% - 0.65% 0.20% - 0.50%
Short Term Income Funds 00.0% - 0.50% 00.0% - 0.50% 0.20% - 0.50%
Income Funds 0.25% - 1.00% 00.0% - 0.65% 0.25% - 0.75%
Gilt Funds 00.0% - 0.50% 00.0% - 0.60% 0.25% - 0.50%
Hybrid Debt / Monthly Income Plans 0.25% - 1.00% 00.0% - 0.65% 0.40% - 1.00%
Arbitrage Funds 0.05% - 0.40% 0.05% - 0.60% 0.05% - 0.60%
Fund of Funds 0.50% - 1.25% 0.25% - 0.50% 0.25% - 0.50%
ELSS 0.50% - 3.00% 00.0% - 0.75% 00.0% - 0.75%
Index Funds Nil 00.0% - 0.75% 0.10% - 0.30%
Equity / Hybrid Equity / Balance Funds 0.50% - 0.75% 0.40% - 0.75% 0.40% - 0.75%
Capital Protection Funds (3 to 5 years) 3.00% - 4.00% Nil Nil
Dual Advantage Fund (3 years) 3.00% - 4.00% Nil Nil
Fixed Maturity Plans 0.05% - 0.75% Nil Nil
Closed ended fund 5 year - 1% 1%
 
Imperial International may also get marketing expense reimbursements from various Asset Management Companies. These reimbursements are contingent; event based and may or may not be paid by AMC’s in a particular period. Further reimbursements can not be attributed to any particular scheme/s being offered by such AMC’s. This disclosure is made on a best efforts basis and the rates are updated periodically.
 
We are a NISM certified / AMFI registered mutual fund distributor and not an RIA. We get compensated / incentivised by AMCs. We don't charge any fees for our services.
 
For any clarifcation, feel free to call us.