Standard Risk Factors

Investment in Mutual Fund units involves investment risks such as trading volumes, settlement risk, liquidity risk, default risk including the possible loss of principal and uncertainty of dividend distribution.
As the price/value/interest rates of the securities in which the Schemes invest fluctuate, the value of your investment in the Schemes may go up or down.
The name of the Schemes referred to in the website or their respective Scheme Information Documents (SID) are only the names of the schemes and do not in any manner indicate either the quality of the scheme or their future prospects or returns.
Past performance of the Sponsors/AMC/Mutual Fund does not guarantee future performance of the Schemes and may not necessarily provide a basis of comparison with other investments.
The Sponsors are not responsible or liable for any loss resulting from the operation of the Schemes beyond the initial contribution of Rs.1,00,000 made by it towards setting up the Fund.
All Mutual Fund and securities investments are subject to market risk and there can be no assurance that the Schemes’ objectives will be achieved.
Investors are not being offered any guaranteed/assured returns under any scheme of ITI Mutual Fund.
Investors may obtain Statement of Additional Information, Scheme Information Document and Key Information Memorandum of respective schemes along with
application forms from our Investor Service Centre as well as from our website www.itimf.com.
Mutual Fund investments are subject to market risks, read all scheme related documents carefully.