Kotak
Kotak
Kotak
FOLIO NO.
DATE
DD / MM / YYYY
Upfront commission shall be paid directly by the investor to the AMFI registered distributors based on the investor's assessment of various factors including the service rendered by the distributor.
NAME OF SOLE/ FIRST HOLDER : NAME OF SECOND HOLDER : NAME OF THIRD HOLDER :
PAN Enclosed (Pleasea ) PURCHASE Scheme Plan Investment Mode Investment : Rs. drawn on REDEMPTION Scheme Amount (Rs.) SWITCH From: Scheme OR
(# Please attach PAN card copy) / (* KYC allotment letter copy is mandatory) Refer Checklist I
Dividend Option (Pleasea ) OR Payout Dividend Frequency Bonus Growth Cheque / DD / Pay order Name of Bank RTGS/NEFT/Fund Transfer/ Online Transfer Chq./ DD No. Branch dated DD
Reinvestment
MM City
YYYY
(Please mention your folio on the face of your investment cheque) Refer Checklist II
Payout Bonus
OR
Reinvestment
Plan
Reinvestment
Plan Required Option Dividend Payout OR (Pleasea ) All Units (a ) Dividend Frequency Growth Bonus
Reinvestment
For investors who have REGISTERED FOR MULTIPLE BANK ACCOUNTS FACILITY in the above folio The redemption should be processed into the following bank account as per the payout mechanism indicated by me/us: Name of Bank Branch Bank A/c No. Bank City
Important Note: If the bank account mentioned above is different from those already registered in your folio, prescribed supporting documents have to be submitted. If bank account details are not filled above OR incorrect /incomplete supporting documents are submitted for a new bank account, the redemption will be processed into the Default bank account registered for the aforesaid folio. Kotak Mutual Fund or Kotak Mahindra Asset Management Company Ltd. will not be liable for any loss arising to the unitholder(s) due to the credit of redemption proceeds into any of the bank accounts registered with us for the aforesaid folio.
For investors who have not REGISTERED FOR MULTIPLE BANK ACCOUNTS FACILITY in the above folio CHANGE OF BANK ACCOUNT DETAILS (Tick only if applicable) Separate request for change of bank details submitted herewith.
Important Note: If incorrect /incomplete supporting documents are submitted for change bank account in the folio, the redemption will be processed into the bank account already registered for the aforesaid scheme in the folio. Kotak Mutual Fund or Kotak Mahindra Asset Management Company Ltd. will not be liable for any loss arising to the unitholder(s) due to the credit of redemption proceeds into any of the bank accounts registered with us for the aforesaid folio.
CHANGE OF ADDRESS (If you are KYC compliant, change of address request has to be submitted at POS of CVL using KYC Details Change form, which in turn will be update in our records.)
Dist. (Cell)
State (E-mail)*
Pin Code
Declaration: I/We have read and understood the contents of the Statement of Additional Information/ Scheme Information Document/ offer Document(s). I/We have neither received nor been induced by any rebate or gifts, directly or indirectly in executing this transaction.
SIGNATURE(S)
Sole/First Holder
Third Holder
Please submit this form to Kotak Mahindra Mutual Fund, Mumbai or to your nearest CAMS Investor Service Center. (Address overleaf)
This Account Statement is a record of your transaction(s) and unit balances in the schemes of Kotak Mahindra Mutual Fund. This is not a document of title and is not transferable. If you find any discrepancy in your Account Statement, please bring it to our notice within 30 days.
Scheme
Kotak 50 Kotak Balance Kotak Bond Kotak Bond Kotak Bond Short Term Kotak Contra Kotak Equity Arbitrage Fund Kotak Equity FOF
Plan
Deposit Regular Regular Institutional PF & Trust Regular Institutional Premium Institutional Regular -
Options**
DP, DR & G DP & DR DP, DR & G DP, DR, G & B DP, DR & G DP, DR & G DP, DR & G DP, DR & G DP, DR & G (DP only Quarterly) DR & G DP, DR & G (DP only Weekly) DR & G DP, DR & G DP, DR & G DP, DR & G DP, DR & G DP, DR & G (DP only Weekly) DR & G DR & G DP, DR & G DP, DR & G DP, DR & G DP, DR & G DP, DR & G DP, DR & G DP, DR & G DP, DR & G DP, DR & G
Dividend Frequency*
Trustee's Discretion Half yearly Quarterly Quarterly, Annual Monthly Trustee's Discretion Monthly Trustee's Discretion Daily, Weekly, Quarterly Daily, Weekly Daily, Weekly, Monthly Daily, Weekly, Monthly Quarterly Quarterly Monthly, Annual Monthly, Quarterly Daily, Weekly Daily, Weekly Weekly Trustee's Discretion Trustee's Discretion Trustee's Discretion Trustee's Discretion Trustee's Discretion Trustee's Discretion Trustee's Discretion Weekly, Monthly, Quarterly, Annual Monthly, Quarterly, Annual
Min. Redemption
Kotak Flexi Debt Kotak Flexi Debt Kotak Floater Long Term Kotak Floater Short Term Kotak Gilt Investment Kotak Gilt Investment Kotak Gilt Savings Kotak Monthly Income Plan Kotak Liquid Kotak Liquid Kotak Liquid Kotak Mid-Cap Kotak Opportunities Kotak Tax-Saver Kotak Select Focus Fund Kotak Emerging Equity Kotak Global Emerging Market Fund Kotak Gold Fund Kotak Credit Opportunities Fund Kotak Multi Asset Allocation Fund
Kotak Fexi Debt Kotak Fexi Debt Kotak Floater Long Term Kotak Floater Short Term Kotak Gilt Investment Kotak Gilt Investment Kotak Gilt Saving Kotak Monthly Income Plan Kotak Liquid Kotak Liquid Kotak Liquid Kotak Mid-Cap Kotak Opportunities Kotak Tax-Saver Kotak Select Focus Fund Kotak Emerging Equity Kotak Global Emerging Market Fund Kotak Gold Fund Kotak Credit Opportunities Fund Kotak Multi Asset Allocation Fund
** DP - Dividend Payout; DR - Dividend Reinvestment; G - Growth; B - Bonus. * Dividend distribution subject to availability & adequacy of distributor surplus
INSTRUCTIONS & INFORMATION: 1. Before investing please refer the SAI/ SID/ Offer Document of the respective scheme(s) 2. PERMANENT ACCOUNT NUMBER (PAN) (MANDATORY): With effect from January 1, 2009 , it is mandatory for all existing and new investors (including joint holders, guardians of minors and NRIs) to enclose a copy of PAN card to the application for investing in mutual fund Schemes. Know Your Client (KYC): With reference to SEBI Circular MIRSD/Cir-26/2011 dated December 23, 2011, investors may kindly note w.e.f. January 1, 2012, it is mandatory for all individual/ non individual investors to be KYC Compliant. Investors can approach any SEBI registered KRA for doing KYC. In the event of KYC Form being subsequently rejected for lack of information/ deficiency/insufficiency of mandatory documentation, the investment transaction will be cancelled and the amount may be redeemed at applicable NAV, subject to payment of exit load, wherever applicable. REDEMPTION/ SWITCH OUT OF UNITS WHERE THERE IS A LIEN MARKED ON UNITS: If a lien has been marked on your units, please furnish along with your redemption/ switch out request, a Release of Lien letter from the financier/ other person in whose favor the lien has been marked. DIRECT CREDIT FACILITY: We offer a Direct Credit facility with the following banks: RBS Bank HDFC Bank Kotak Mahindra Bank AXIS Bank HSBC Bank Standard Chartered Bank Citi Bank ICICI Bank YES Bank Corporation Bank IDBI Bank Deutsche Bank Indusind Bank CHANGE IN AUTHORISED SIGNATURES: If there is a change in the list of Authorised Signatories since the date of your purchase/ switch in and the same has not been intimated to us, please enclose a certified copy of your latest Board Resolution and Authorised Signatories List with your transaction request.
3.
4.
5.
6.
REGISTRAR : COMPUTER AGE MANAGEMENT SERVICES PVT. LTD. 148, Old Mahabalipuran Road, Okkiyam Thuraipakkam, Chennai - 600 096. CAMS INVESTOR SERVICE CENTERS
Ahmedabad: 402-406, 4th Floor, Devpath Building, Off C G Road, Behind Lal Bungalow, Ellis Bridge, Ahmedabad - 380006. Bangalore: Trade Centre, 1st Floor, 45 Dikensen Road (Next to Manipal Centre ), Bangalore 560042. Bhubaneswar: 3rd Floor, Plot No - 111, Varaha Complex Building, Station Square, Kharvel Nagar, Unit 3, Bhubaneswar - 751001. Chandigarh: Deepak Tower, SCO 154-155,1st Floor, Sector No 17-C, Chandigarh - 160017. Chennai: Ground Floor, No.178/10, Kodambakkam High Road, Opp. Hotel Palmgrove, Nungambakkam, Chennai - 600034. Cochin: Ittoop's Imperial Trade Center, Door No. 64/5871 - D, 3rd Floor, M. G. Road (North), Cohin - 682035. Coimbatore: Ground Floor, Old No. 66, New No. 86, Lokamanya Street (West), R.S.Puram, Coimbatore - 641002. Durgapur: 3rd Floor, City Plaza Building, City Centre, Durgapur 713 216. Goa: No.108, 1st Floor, Gurudutta Bldg, Above Weekender, M G Road, Panaji, Goa - 403001. Hyderabad: 208, 2nd Floor, Jade Arcade, Paradise Circle, Secunderabad - 500003. Indore: 101, Shalimar Corporate Centre, 8-B, South tukogunj, Opp. Greenpark, Indore - 452001. Jaipur: R-7, Yudhisthir Marg ,C-Scheme, Behind Ashok Nagar Police Station, 63/ 2, The Mall, Jaipur - 302001. Kanpur: 1st Floor, 106 to 108, City Centre, Phase - II, Kanpur - 208001. Kolkata: 2nd Floor, Saket Building, 44 Park Street, Kolkata - 700016. Lucknow: Off No 4,1st Floor, Centre Court Building, 3/c, 5 Park Road, Hazratganj, Lucknow - 226001. Ludhiana: U/ GF, Prince Market, Green Field, Near Traffic Lights, Sarabha Nagar Pulli, Pakhowal Road, Ludhiana - 141002. Madurai: 86/71A, Tamilsangam Road, Madurai - 625001. Mangalore: No. G 4 & G 5, Inland Monarch, Opp. Karnataka Bank, Kadri Main Road, Kadri, Mangalore - 575003. Mumbai: Rajabahdur Compound, Ground Floor, Opp Allahabad Bank, Behind ICICI Bank, 30 Mumbai Samachar Marg, Fort, Mumbai 400023. Nagpur: 145 Lendra, New Ramdaspeth, Nagpur - 440010. New Delhi: 304-305, 3rd Floor, Kanchenjunga Building, 18 Barakhamba Road, Cannaugt Place, New Delhi - 110001. Patna: G-3, Ground Floor, Om Vihar Complex, S P Verma Road, Patna - 800001. Pune: Nirmiti Eminence, Off No. 6, 1st Floor, Opp Abhishek Hotel, Mehandale Garage Road, Erandawane, Pune - 411004. Surat: Plot No. 629, 2nd Floor, Office No. 2-C/2D, Mansukhlal Tower, Beside Seventh Day Hospital, Opp. Dhiraj Sons, Athwalines, Surat - 395001. Vadodara: 103 Aries Complex, BPC Road, Off R.C. Dutt Road, Alkapuri, Vadodara - 390007. Vijayawada: 40-1-68, Rao & Ratnam Complex, Near Chennupati Petrol Pump, M.G. Road, Labbipet, Vijayawada - 520010. Visakhapatnam: 47/ 9 / 17, 1st Floor, 3rd Lane , Dwaraka Nagar, Visakhapatnam - 530016.
SCHEMES - SNAPSHOT