Risk Factors

  1. Securities / Mutual fund investments are subject to market risks.
  2. There is no assurance or guarantee that the fund's / scheme's objectives will be achieved.
  3. NAV of the schemes may go up or down depending upon the factors and forces affecting the securities market.
  4. The name(s) of the scheme(s) do(es) not in any manner indicate either the quality of the scheme(s), their future prospects or returns.
  5. Past Performance of the Sponsor and their affiliates / Mutual Fund / AMC does not guarantee the future performance of the schemes of the Mutual Fund.
  6. Investors in the Scheme(s) are not being offered any guaranteed / assured returns and the actual returns of an Investor will be based on the actual NAV which may go up or down depending on the market conditions.
  7. The Sponsors are not responsible or liable for any loss resulting from the operation of the Scheme(s) beyond the initial contribution of Rs. 1 lakh each made by them towards setting up the Fund.
  8. As the price / value / interest rates of the securities in which the Scheme(s) invests fluctuates, the value of your investment in the Scheme(s) may go up or down depending on the various factors and forces affecting the capital markets and money markets.
  9. There is no assurance or guarantee to unit holders as to the rate of dividend distribution nor that dividends will be paid regularly.
  10. Copies of the Scheme Information Document(s) / Statement of Additional Information / Key Information Memoranda can be obtained at any of our Investor Service Centers or on the AMC Website www.boimf.in
  11. In case you wish to subscribe to units in relation to any Product / Scheme, We urge you to go through the Scheme Information Documents (SID) and the Statement of Additional Information carefully before taking any decision to invest. For this purpose, you may download the Scheme Information Documents (SID), the Statement of Additional Information and the related addenda which contain all relevant / important information and attendant risk factors.
  12. Investment in Mutual Fund Units involves investment risks such as trading volumes, settlement risk, liquidity risk, default risk including the possible loss of principal.
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