AMFI Registered Mutual Fund Distributor | ARN - 75896 Date of Initial Registration: 06 August 2009 Validity of Registration: 05 August 2029 ● AMFI Registered Specialized Investment Fund Distributor | ARN - 75896 Date of Initial Registration: 10 January 2026 Validity of Registration: 18 August 2028 ●
AMFI Registered Mutual Fund Distributor | ARN - 75896 Date of Initial Registration: 06 August 2009 Validity of Registration: 05 August 2029 ● AMFI Registered Specialized Investment Fund Distributor | ARN - 75896 Date of Initial Registration: 10 January 2026 Validity of Registration: 18 August 2028 ●

AMFI Registered Mutual Fund Distributor

ARN - 75896

Date of Initial Registration: 06 August 2009

Validity of Registration: 05 August 2029

AMFI Registered Specialized Investment Fund Distributor

ARN - 75896

Date of Initial Registration: 10 January 2026

Validity of Registration: 18 August 2028

UPDATES
Saroj Securities — AMFI Registered Mutual Fund Distributor ARN - 75896 • AMFI Registered Specialized Investment Fund Distributor ARN - 75896 • Mutual Fund investments are subject to market risks. Read all scheme related documents carefully.
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commission / remuneration

Commission Disclosure

  • Saroj Securities receives distribution commission from Asset Management Companies (AMCs) for mutual fund schemes distributed by it, as applicable. Saroj Securities does not charge investors any additional fee or amount for mutual fund distribution services.
  • Commission may differ between schemes and may vary depending upon the applicable commission structure.
  • Investors may request information regarding the commission received or receivable for the relevant mutual fund schemes.
  • Range of commission in different products is mentioned hereunder.
  • The availability of a particular mutual fund scheme through Saroj Securities should not be construed as a representation that the scheme is suitable for every investor.
Scheme Type Annual Trail in Percentage
Liquid / Ultra Short Term Debt Schemes 0.05% – 0.70%
Short Term Debt Schemes 0.50% – 0.90%
Income Funds / Medium Term Debt Funds 0.40% – 1.00%
Gilt Funds 0.15% – 0.90%
Debt Hybrid Schemes 0.30% – 1.50%
Arbitrage Funds 0.45% – 0.70%
Fund of Funds 0.50% – 1.50%
ELSS 0.65% – 1.60%
Index Funds / Gold Funds / Silver Funds 0.30% – 1.00%
Equity Hybrid / Multi Asset Allocation Funds 0.65% – 1.60%
SIF 0.65% – 1.60%

Important Disclosure

The commission/remuneration ranges mentioned above are indicative and may vary depending on the applicable product, scheme and prevailing arrangements with AMCs.

Investors may seek details of the applicable commission for the relevant product or scheme.

The commission received should not be construed as an indication of the superiority or suitability of any particular scheme over another.

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