AMFI Registered Mutual Fund Distributor | ARN - 75896 Date of Initial Registration: 06 August 2009 Validity of Registration: 05 August 2026 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 2026 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 2026

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.
Mutual Fund Investment
Mutual Fund Investing
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mutual fund investment

Invest with clarity, discipline & awareness

Mutual funds pool money from investors and invest in securities according to the investment objective of the respective scheme.

Saroj Securities is an AMFI Registered Mutual Fund and Specialized Investment Fund Distributor with ARN 75896. We facilitate investment in mutual fund schemes offered by various Asset Management Companies.

Our objective is to help investors understand mutual fund products, scheme features, investment requirements and associated risks before making an investment decision.

Mutual Fund Investment

investor focused approach

Understand your objective, assess your requirements, explain the available options, disclose relevant information and invest with awareness.

mutual fund categories

Understand different mutual fund categories

Different mutual fund categories have different investment objectives and risk characteristics. Investors should consider their individual circumstances before selecting a scheme.

Equity Funds

equity funds

Designed primarily for investors seeking long-term capital appreciation, with market-linked risk.

Equity Mutual Funds
Debt Funds

debt funds

Primarily invest in fixed-income securities and are subject to interest-rate, credit and other relevant risks.

Debt Mutual Funds
Hybrid Funds

hybrid funds

Invest across more than one asset class and may offer a combination of equity and fixed-income exposure.

Hybrid Mutual Funds
Solution Oriented Schemes

solution-oriented schemes

Certain schemes are designed around specific long-term objectives as specified in their respective scheme documents.

Other Mutual Fund Categories

other categories

Investors may also consider other permitted mutual fund categories depending upon their requirements and the characteristics of the scheme.

our approach

Making mutual fund investing more informed

We believe investors should understand both the potential benefits and risks associated with a mutual fund investment before making an investment decision.

Investment Objective

investment objective

Consider what you are investing for and whether the investment objective of a scheme aligns with your financial requirements.

Risk Profile

risk profile

Different schemes carry different levels and types of risk. Your ability and willingness to take risk are important considerations.

Investment Horizon

investment horizon

Consider how long you intend to remain invested and whether it is appropriate for the selected mutual fund scheme.

Liquidity

liquidity requirements

Consider your need for access to your money before investing and understand the applicable scheme features.

Portfolio

existing portfolio

Your existing investments and proposed asset allocation are relevant when considering a new mutual fund investment.

Scheme Documents

scheme documents

Investors should carefully review the relevant Scheme Information Document, KIM and other scheme-related documents before investing.

our empanelment

Mutual Fund AMCs

Saroj Securities is an AMFI Registered Mutual Fund and SIF Distributor with ARN 75896 and is empanelled with various Asset Management Companies.

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.

AMFI Registered

AMFI registered

Mutual Fund and SIF Distributor

ARN

ARN - 75896

AMFI Registered Distributor

Multiple AMCs

multiple AMCs

Empanelled with various Asset Management Companies

Investor Support

investor support

Information and assistance throughout the investment process

empanelled mutual funds

Asset Management Companies

Saroj Securities is empanelled with the following Asset Management Companies.

Serial No. Name of AMC SEBI Registration No.
1 360 ONE Mutual Fund (formerly IIFL Mutual Fund) MF/067/11/02
2 Abakkus Mutual Fund MF/088/25/14
3 Aditya Birla Sun Life Mutual Fund MF/020/94/8
4 Axis Mutual Fund MF/061/09/01
5 Bajaj Finserv Mutual Fund MF/078/23/04
6 Bandhan Mutual Fund (formerly IDFC Mutual Fund) MF/042/00/3
7 Baroda BNP Paribas Mutual Fund MF/018/94/2
8 Canara Robeco Mutual Fund MF/004/93/4
9 DSP Mutual Fund MF/032/97/4
10 Edelweiss Mutual Fund MF/057/08/02
11 Franklin Templeton Mutual Fund MF/026/96/8
12 Groww Mutual Fund MF/068/11/03
13 HDFC Mutual Fund MF/044/00/6
14 Helios Mutual Fund MF/079/23/05
15 HSBC MF MF/046/02/5
16 ICICI Prudential Mutual Fund MF/003/93/6
17 Invesco Mutual Fund MF/058/08/03
18 ITI Mutual Fund MF/073/18/01
19 JM FINANCIAL MF MF/015/94/8
20 Kotak Mahindra Mutual Fund MF/038/98/1
21 LIC MF MF/012/94/5
22 Mahindra Manulife Mutual Fund MF/069/16/01
23 Mirae Asset Mutual Fund MF/055/07/03
24 Motilal Oswal Mutual Fund MF/063/09/04
25 Nippon India Mutual Fund MF/022/95/1
26 PGIM INDIA MUTUAL FUND MF/065/10/02
27 PPFAS Mutual Fund (Parag Parikh) MF/073/13/02
28 Quant Mutual Fund MF/028/96/4
29 Quantum Mutual Fund MF/051/05/02
30 SBI Mutual Fund MF/009/93/3
31 SUNDARAM MF MF/034/97/2
32 Tata Mutual Fund MF/023/95/2
33 Union Mutual Fund MF/066/11/01
34 UTI Mutual Fund MF/048/03/01
35 WhiteOak Capital Mutual Fund MF/072/13/01

important to understand

Choose investments based on your circumstances

The suitability of a mutual fund scheme depends on the investor's individual circumstances and not merely on historical performance.

Risk Profile

risk appetite & capacity

Consider both your willingness and ability to withstand fluctuations in the value of your investment.

Investment Horizon

investment horizon

The time you can remain invested should be considered along with the characteristics of the selected scheme.

  • Investment objective
  • Risk appetite and risk capacity
  • Investment horizon
  • Liquidity requirements
  • Existing investment portfolio
  • Proposed asset allocation
Mutual Fund Risk
Mutual Fund Suitability
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investor awareness

Mutual fund investments are subject to market risks

Investors should carefully read all scheme-related documents before making an investment decision. Past performance is not indicative of future performance.

important

market linked

The value of mutual fund investments may rise or fall depending on market conditions and other factors.

01

important

no guaranteed returns

Saroj Securities does not guarantee any return or capital appreciation from any mutual fund investment.

02

important

read scheme documents

Investors should carefully read the relevant scheme documents and disclosures before investing.

03

start your investment journey

Explore mutual funds with greater awareness

If you would like to understand mutual fund investment options or SIPs, get in touch with Saroj Securities.

Mutual Fund Investment