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Internet Account Statement: Folio Number: Statement Date

This document is an internet account statement for Kalam Srinivas Reddy's investment in the Tax Relief '96 Fund-ELSS - Growth mutual fund. It shows that he has 285.846 units valued at Rs. 6,134.26 as of May 2, 2016. The statement details his purchase transactions through SIP installments in February, March and May 2016 totaling Rs. 6,000 investment. It also lists his folio number, PAN, bank details, current load structure, and portfolio summary.
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0% found this document useful (0 votes)
347 views

Internet Account Statement: Folio Number: Statement Date

This document is an internet account statement for Kalam Srinivas Reddy's investment in the Tax Relief '96 Fund-ELSS - Growth mutual fund. It shows that he has 285.846 units valued at Rs. 6,134.26 as of May 2, 2016. The statement details his purchase transactions through SIP installments in February, March and May 2016 totaling Rs. 6,000 investment. It also lists his folio number, PAN, bank details, current load structure, and portfolio summary.
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
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Internet Account Statement

NON-TRANSFERABLE

Kalam Srinivas Reddy Mode of Holding : Single


Status : Individual
121 OLD HOSTEL
Nominee : Kalam Himabindu
NIFM SEC 48 Second Holder : N/A
Third Holder : N/A
Guardian Name :
FARIDABAD HARYANA - 121006 Your Branch : CAMS ISC - Hyderabad

Haryana Pan 1 : BGVPK5477M-Verified KYC:Verified


Pan 2 : N/A
Email : [email protected]
Pan 3 : N/A
Pan Guardian : N/A

Folio Number : 1017474903 Statement Date : 3-May-2016

Tax Relief '96 Fund-ELSS - Growth NAV as on 02-May-2016 21.46

Value Transaction Type Amount Price NAV Number of Balance


Date (Rs) (Rs) (Rs) Units Units

03/02/2016 Purchase-SIP 2,000.00 20.11 20.11 99.453 99.453


04/02/2016 Address Updated from KRA Data
04/02/2016 Registration of Nominee
05/02/2016 Address Updated from KRA Data
09/02/2016 SIP Registered
15/03/2016 Purchase-SIP (Reversal - Code IV ) (2,000.00) 19.98 19.98 (100.100) 99.453
15/03/2016 Purchase-SIP - Instalment 2/1007 2,000.00 19.98 19.98 100.100 199.553
06/04/2016 Open Mandate Ceasation from
BankState Bank of India$**1126
18/04/2016 SIPTerminated
02/05/2016 Purchase 4,000.00 21.46 21.46 186.393 285.846

Your Broker : ARN-9992/prudent ltd Redemption Payout Type : ELECTRONIC PAYMENT


Lien Units : 0.000 Dividend Payout Type : N/A
Bank Details : SB 30762131126 / State Bank of India /
Ashok Nagar / Hyderabad

Current Load Structure : Entry Load: NIL, Exit Load: NIL, All Investments in the scheme are subject to a Lock-in Period of
3 years from the date of allotment
Note: The exit load rate levied at the time of redemption/switch-out of units will be the rate
prevailing at the time of allotment of the corresponding units. Customers may request for a
separate Exit Load Applicability Report by calling our toll free numbers 1800-270-7000 /
1800-22-7000 or from any of our Investor Service Centers.

* The redemption / Switch amount requsted by you has been grossed upward to provide for the deduction of STT

PORTFOLIO SUMMARY

Scheme Unit Balance NAV as on NAV Current Value Cost of Dividend


(Rs) Investment Earned

Tax Relief '96 Fund-ELSS - Growth 285.846 02-May-2016 21.46 6,134.26 6,000.00 0.00

Units are allotted subject to clearance of cheque 1

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