Legal
Mutual Fund Disclosure
Last updated: 08 November 2025
AMFI registration details
ARN - 321635
Date of initial registration: 11-February-2025
Current validity of ARN: 10-February-2028
Mutual Fund – Disclosure of Commission
| Scheme category | Commission (%) |
|---|---|
| Aggressive Hybrid Fund | 0.01% to 1.60% |
| Arbitrage | 0.01% to 1.35% |
| Balanced Advantage Fund | 0.01% to 1.55% |
| Balanced Hybrid Fund | 0.05% to 1.25% |
| Banking & Psu | 0.25% to 1.05% |
| Children's Fund | 0.70% to 1.00% |
| Commodities | 0.05% to 1.35% |
| Conservative Hybrid | 0.01% to 0.35% |
| Contra | 0.01% to 1.45% |
| Corporate Bond | 0.10% to 1.25% |
| Credit Risk | 0.05% to 1.10% |
| Debt - Banking & PSU | 0.05% to 1.05% |
| Debt - Corporate Bond | 0.05% to 0.25% |
| Debt - Dynamic Bond Fund | 0.05% to 0.75% |
| Debt - Liquid Fund | 0.05% to 0.65% |
| Debt: Floater Fund | 0.15% to 0.45% |
| Debt: Medium to Long Duration | 0.05% to 0.40% |
| Dividend Yield | 0.05% to 1.15% |
| Dynamic Asset Allocation | 0.01% to 1.55% |
| Dynamic Bond Fund | 0.25% to 0.60% |
| ELSS | 0.01% to 3.05% |
| Equity- Sector | 0.01% to 1.20% |
| Equity - Thematic | 0.15% to 1.55% |
| Equity Savings Fund | 0.15% to 1.05% |
| Equity: Thematic Index | 0.15% to 0.50% |
| Flexi Cap | 0.01% to 2.00% |
| Floater | 0.35% to 0.70% |
| Focused | 0.03% to 1.60% |
| FoF- Commodities | 0.10% to 0.35% |
| Fofs- Debt | 0.01% to 0.25% |
| Fofs- Thematic | 0.05% to 0.65% |
| Fofs (Overseas/Domestic) | 0.01% to 1.05% |
| Gilt | 0.10% to 1.05% |
| Global - Other | 0.05% to 1.40% |
| Gold Fund | 0.01% to 0.35% |
| Hybrid: Aggressive Allocation | 0.01% to 1.20% |
| Hybrid: Conservative | 0.20% to 1.00% |
| Index Funds | 0.01% to 1.25% |
| Index Funds / Etfs | 0.01% to 1.35% |
| International | 0.01% to 1.15% |
| Large & Mid Cap Fund | 0.01% to 1.80% |
| Large Cap | 0.01% to 1.45% |
| Large Cap - Index | 0.01% to 1.10% |
| Liquid | 0.01% to 1.10% |
| Long Duration Fund | 0.01% to 0.45% |
| Low Duration Debt | 0.10% to 1.35% |
| Medium Duration | 0.01% to 1.05% |
| Medium to Long Duration | 0.01% to 0.50% |
| Mid Cap | 0.01% to 1.65% |
| Money Market | 0.01% to 1.20% |
| Multi Asset Allocation | 0.05% to 1.65% |
| Multi Cap Fund | 0.10% to 1.40% |
| Overnight | 0.01% to 1.05% |
| Retirement Fund | 0.25% to 1.40% |
| Sector Fund - Technology | 0.35% to 0.85% |
| Sector- Banking & Financial | 0.35% to 1.20% |
| Sectoral / Thematic | 0.01% to 1.95% |
| Short Duration | 0.01% to 0.95% |
| Short Term Bond Fund | 0.55% to 0.80% |
| Small Cap | 0.01% to 1.50% |
| Thematic Fund | 0.30% to 1.85% |
| Ultra Short Duration Fund | 0.01% to 1.00% |
| Value | 0.01% to 1.45% |
Note:
The above-mentioned commission is All Trail.
This information collation is on a best effort basis, and Income details are updated based on brokerage received from various fund houses.
The above commission structure is subject to updation/change from time to time at the sole discretion and agreement between Bridgit Finmart Pvt Ltd and the respective fund houses.
- Mutual fund investments are subject to market risks, read all scheme related documents carefully.
SEBI | Scheme Information Document (SID) available here - https://www.sebi.gov.in/sebiweb/other/OtherAction.do?doMutualFund=yes&mftype=2
- Bridgit does not provide any assurance or guarantee on returns or capital protection.
- Investment portfolios are created using algorithmic rules based on user responses and publicly available data. Bridgit does not offer personalized financial advice.
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- Performance simulations, model portfolios, and calculators on the Platform are illustrative and may differ from actual market performance.
- Users are responsible for understanding the applicable tax laws, expense ratios, and exit loads associated with mutual fund investments.
- Bridgit is not responsible for actions or decisions taken by the fund houses or intermediaries. Bridgit only acts as a technology facilitator.