HOW TO INVEST THROUGH WEBSITE - Mirae Asset

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HOW TO INVEST THROUGH WEBSITEExisting Investor Post Login

Existing Investorwith LoginThis service is available only to our existing Investors.Existing investors can register using folio number andcreate login credentials.Investors can access their dashboards to track theirinvestments, purchase, redeem, switch, transfer,withdraw, etc.

EXISTING INVESTOR WITH LOGINBuilding on principlesNEW INVESTORLOGINREGISTERMUTUAL FUND INVESTMENTS ARE SUBJECT TO MARKET RISKS,READ ALL SCHEME RELATED DOCUMENTS CAREFULLY.EXISTING INVESTORAccess to all transactions(Click here to view demo)QUICK PURCHASEAccess to all existing investors forinvestments(Click here to view demo)NEW INVESTORAccess to various funds

REGISTER FOR NEW USERSRegisterAddress 1:We sincerely thank you for your patronage and are committed to serve youwith the best of the offerings that we have.Address 3:We accept request for online transaction registration from the followinginvestor segments Resident Indian Individuals **Non-Resident Indians and Persons of Indian origin residing abroad Parents/ Lawful guardians on behalf of minors**Currently we are not accepting applications from U.S. Persons andResidents of Canada in any of the Schemes of the Fund. Please Click here forcomplete details. We request you to complete me registration process for getting accessfor the online services offered by us. Important Note:- If you have your investments in more than one folionumber with us, please create the User ID only once. Enter the folio number & generate OTP which will be sent to yourregistered mobile number and email address in the text boxesmentioned below.Folio Number: *Enter OTP: *GET OTPSUBMITOnce you complete the registration process, the email ID registered for theabove folio number will be the User ID to login to the website. Once a User IDis created, you can add your multiple folios to me same User ID.In case you need any clarifications, Idndly call us on 1800 2090 777 or emailus at customercare@miraeasset.com and our customer care executives willbe happy to help you.Address 2:Enter folio number and OTP.City:State:Postal Code:Country:Telephone (O):INDIATelephone (R):User ID:*Password:*(This password will be used to login to your account)Confirm Password:*Password Guidelines Password should be minimum 8 characters Password should contain atleast one lower case character(a-z) Password should contain atleast one upper case character(A-Z) Password should contain only one special character @#*() /-\[]{}:, Password should contain atleast four numeric character(0-9)In case, if you forgot your password, you will be promoted thequestion that you have entered here. You will then have to enter thesame answer which will enable us to give your forgotten password.Question:*Mother’s maiden nameAnswer:*Confirm Answer:*REGISTEROTP will be sent to registeredemail id and mobile number.Enter your personal detailsand set your password, as permentioned guidelines.

LOGINLogin using user id (registeredemail id) and password.User ID (abc@xyz.com)*Transact OnlineWe welcome you to the login section.Password*You are just a step away from transacting online in various schemes offered byMirae Asset Mutual Fund.Forgot PasswordEnter OTP*GET OTPagree to the Terms of UseLOGINNew User? Click HereAccount locked? Click HereWe request you to kindly log in with your User ID and password, to experience seamlessinvesting in our funds.Click on get OTP. The OTP willbe sent to your registeredemail id and mobile numberlinked to your folio number.Enter OTP and login.

DASHBOARDDashBoard - Across All SchemesAsset ValueEquity 2,237,251Invested Value 2,456,616Market Value 290,365Gain /Loss100%Dashboard helps investors withoverviews of their investments.Asset valueInvested value, market value, gain/lossFolio ListFolio Number12345678910Invested ValueMarket Value1,234,567.001,234,567.00Gain/Loss 1,234.00ActionTransact NowOpen TransactionDateFolio ly-20191234567890Lumpsum8366.00PendingActive Systematic Plan0 Active SIP0 Active STP0 Active SWPUpcoming TransactionDate28 July 2010Folio NoTr.TypeSystematic InvestmentAmountStatusFolio listOpen transactionActive SIPUpcoming transactions

PORTFOLIOMy Portfolio Check, Track, Manage the status of your investments here and get information and trends to help grow yourinvestments now !Folio Number:*Name:Scheme NameNAV(Net AssetValue)NAV DateCut-offTimeMinimumAmountPlanModeTransactMirae Asset xxxx xxxx xxxxxx xxxxxxxxxxx xxxxxx10.843006/19/20201:00 PM5000.00DIRECTGOMirae Asset xxxx xxxx xxxxxx xxxxxxxxxxxxxxx xxxx xxxxxx10.843006/19/20201:00 PM5000.00DIRECTGOMirae Asset xxxx xxxx xxxxxx xxxxxxxxxxxxxxx xxxx xxxxxx10.843006/19/20201:00 PM5000.00DIRECTGOMirae Asset xxxx xxxx xxxxxx xxxxxxxxxxxxxxx xxxx xxxxxx10.843006/19/20201:00 PM5000.00DIRECTGOMirae Asset xxxx xxxx xxxxxx xxxxxxxxxxxxxxx xxxx xxxxxx10.843006/19/20201:00 PM5000.00DIRECTGOTotal: Before Proceeding, request your kind attention on the Important Announcement for our Scheme "Mirae Assetxxxxxxx xxxxxx xxxxxx xx". Please click Here to read the information. Also note that in order to align the name of Mirae Asset xxxx xxxxxx xxxxxx xx with SEBI circular datedOctober 6, 2017, the Scheme is being renamed to "Mirae Asset xxxx xxxxx xxx xx" with effect from March 01. 201B. Further the fundamental attributes of Mirae Asset xxxx xxxxx xxxxx xx (the scheme) with SEE vide its letter no. datedMarch 11, 2019, has been changed and renamed to Mirae Asset xxxx xxxxx xxxxx xx with effect from Wednesday,May 1 2019. Please click here to read the information.The portfolio section will helptrack all investments in differentscheme under single view.An investor can purchase,redeem or switch in the existingscheme.

ADDITIONAL PURCHASEIn case, an investor needs to do anadditional purchase in a new scheme,he/she needs to select category,investment mode - distributor or direct,scheme, plan and option and select go.GENERAL»REGISTERInvest in an Existing Scheme and Plan :»EXISTING INVESTOR WITH LOGINInvest in a New Scheme and Plan»EXISTING INVESTOR WITHOUT LOGIN»I-SIP»UPDATE CONTACT DETAILS»FAQS»REQUEST FOR ACCOUNT STATEMENT»UNCLAMED DIVIDENTSScheme Category:Select Scheme: Mirae Asset xxxx xxxxxx xxxxxx xxInvestment Mode:Scheme NameEQUITYDistributorDirectNAV(Net AssetValue)NAV DateCut-offTimeMinimumAmountPlanModeTransactMirae Asset xxxxx xxxxx xxxxxx xxxx xxxxxxxx10.843006/19/20201:00 PM5000.00DIRECTGOMirae Asset xxxxx xxxxx xxxxxx xxxx xxxxxxxxxxxxxxx - xxxxxx10.843006/19/20201:00 PM5000.00DIRECTGOMirae Asset xxxxx xxxxx xxxxxx xxxx xxxxxxxxxxxxxxx - xxxxxx10.843006/19/20201:00 PM5000.00DIRECTGOMirae Asset xxxxx xxxxx xxxxxx xxxx xxxxxxxxxxxxxxx - xxxxxx10.843006/19/20201:00 PM5000.00DIRECTGOMirae Asset xxxxx xxxxx xxxxxx xxxx xxxxxxxxxxxxxxx - xxxxxx10.843006/19/20201:00 PM5000.00DIRECTGOIn case, the investor is referred by adistributor, enter ARN and EUIN number.

ADDITIONAL PURCHASEGENERAL»REGISTER»EXISTING INVESTOR WITH LOGIN»EXISTING INVESTOR WITHOUT LOGIN»Additional PurchasePlease enter the amount you wish to invest in the chosen Scheme-Plan-Option.Please note that the units will be allotted based on the applicable NAVFolio Number:XXXXXXXXXXXI-SIPFirst Holder Name:XXXXXXXX XXXXX XXXXXX»UPDATE CONTACT DETAILSSecond Holder Name:-»FAQSThird Holder Name:-»REQUEST FOR ACCOUNT STATEMENTCurrent / New Investment :Mirea Asset xxxxx xxxxx xxxxxx xxxxxx xxxxxx xxxxxx»UNCLAMED DIVIDENTSLast broker code / Name:-Cut-off Time:1:00 PMMinimum Amount:5000.00PAN - First Holder:XXXXXXXXXXPAN - Second Holder:-PAN - Third Holder:-Amount*:Distributor:000000-0If you are investing through an RIA, share their detailsRIA Code:Registered Bank*:Please select Payment ModeINA:(INA123456789)Internet Banking ORNEFT / RTGSI have read and understood the Third Party Payment Guidelines. I further confirm that the transaction is being done through the designatedbank account registered under the folio number and that the first named applicant/ investor is one of the account holders to the bankaccount which will be debited for such electonic transfer of funds for the purpose of this application.Further, I also confirm that, I have read and understood and shall abide by the content of theOffer Document / Scheme InformationDocument / Statement of Additional Information. I/We understand that the fund shall not be responsible for any errors that may becommitted by me/us in the process of conducting any online transaction or for error or failure of the transaction over internet due to anynetwork / technical problem.I/We hereby give you my/our investments under Direct Plan of all Scheme managed by you, to the above mentioned SEBI Registeredinvestment Advisor/ RIA/ Portfolio Manager.SUBMITIn case, you are referred by an RIA, enterthe RIA code under Direct investment.Payment can be done through Netbanking or NEFT/RTGS.For NAV applicability details, Click HereDirectCheck the scheme and other details andenter the amount you want to invest inthe scheme.BACKIn case of Net banking, the registeredbanks will be pre-populated, select thedesired bank and proceed.For NEFT/RTGS, select the option andrefer to slide 10.

ADDITIONAL PURCHASE - NET BANKINGCheck the details and clickconfirm and you will beredirected to the bankwebsite to complete thetransaction.Additional PurchaseFolio Number: XXXXXXXXXXXFirst Holder Name: XXXXXXXX XXXXX XXXXXXCurrent / New Investment : Mirea Asset xxxxx xxxxx xxxxxx xxxxxx xxxxxxxxxxxxx xxxxxxLast broker code / Name: --Amount* (in Rs.): 0000.00Bank Name: XYZ BANKRIA Code::INA(INA123456789)You are requested to make the net banking payment from your registered bank account. Mirae Asset Mutual Fund will endeavour to obtain thedetails of bank account from the payment hateway service provider and match the same with the registered pay-in accounts. In case it is found thatthe payment is not made from a registered bank account or from an account not belonging to the first named unit holder, MiraeAsset Mutual Fundshall reject the transaction with due intimation to the investor.“We request you to mention your ‘Name’ and ‘Bank Account Number’ in the TRansaction Remarks at the time of validating/ confirming the transaction. Also note, that if the value of transaction is equal to or above 2 Lakhs, the NAV applicability will be based on the credit time of the funds receivedto the collection account and not the time at the time at which your bank account was debited. If you encounter any technical snag due to slownesson the internet, expiry of the sessions OR due to other technical reasons either on the banks end or the website be it downtime, maintenance ordeclines, please call the customer care team at 1800 2090777 or email at customercare@miraeasset,com, to confirm whether the transaction hasbeen received. If the bank account has been debited and the transaction has not been received, it will not be considered as a valid transaction andthe funds so received will be dredited back to the bank account”.SUBMITBACK

PAYMENT THROUGH NEFT/RTGSMode of PaymentNet BankingNEFT/RTGSPlease fill the requisite details and click on the submit button for completing the transaction A- Bank Name and Bank Account from which the transaction has been paidNote: You have opted to make the payment for this transaction through theNEFT/RTGS route.Net Banking*This mode of payment is applicable if you are transferring or have already transferred the Other Bank*subscription amount in the below mention NEFT/RTGS collection bank account. MiraeAsset Mutual Fund or its AMC shall not be responsible in case of any transfer of funds intoa wrong account by the investor. Allotment of units is subject to realization of amount intothe designated HDFC Bank current account.Account Number*B - UTR / NEFT Reference Number generated for the transaction as provided by your bankUTR No. *The account details are as under -C - Uploading of the Fund Transfer Receipt / Acknowlwdgement as provided by your bankBank Name - HDFC Bank LimitedBank Branch - Fort, Nanik Motwani Marg, MumbaiAccount Title - MIRAE ASST MF WEB RTGS-NEFT COLLECTIONAccount Number - 57500000355220Bank Branch IFSC Code for NEFT for below 2 Lakhs Transaction - HDFC0000240Bank Branch IFSC Code for NEFT for above 2 Lakhs Transaction - HDFC0000060Choose a file*CHOOSEWe request you to also check the below steps before completing the transaction - Step 1: Log on to your bank’s website and initiate an NEFT/RTGS transfer request to theabove given bank account for the amount to be invested. Step 2: Note down Unique TRansaction Reference Number (UTR) or the NEFTtransaction reference number generated from your bank’s website. Fill the same in UTR/ NEFT Reference Number field provided below. You would also need to attach the printscreen of the successful NEFT transfer as shown on your bank’s website. Step 3: Post filling the form, click ‘Next’ to proceed to the confirmation page & click onthe ‘confirm’ button to submit your purchase transaction. Step 4: A transaction confirmation message will be displayed on the Mirae Asset MUtualFund transact website. Please do not disconnect your web browser before you receivethis confirmation. In an unlikely event that you do not receive this confirmation, pleasecontact on our toll free number 1800-2090-777I have read and understood the above. Please proceed.CONTINUECONTINUERead the instructions andcontinue. Select the bank,enter account number, enterUTR no. and upload the fundtransfer receipt provided bythe bank.

SCHEDULED TRANSACTIONAdditional PurchaseSelect Payment ModeInternet Banking: BackSchedule for FutureSubmitAdditional PurchasePlease select future Date(MM/DD/YYYY)SuMoTu3011415721284822295July, day: July 26,201912269Scheduled transaction is enabledfor investors to plan the cashinflows and transact accordingly.In case any transactions, additionalpurchase, cart mode, iSIP, redeem,switch wants to be scheduled for afuture date (up to 5 working days),the investor can select a future dateand schedule the transaction.All scheduled transactions will beshown in the below table. You cancancel the scheduled transactionbefore the date.132710Additional PurchaseDO you want to ProceedSubmitCancel

FAVORITE TRANSACTIONSFavourite TransactionsFolio Number:*IH No.12345678910 - XXXXX XXXXXXScheme 109531719Mirae Asset xxxxx xxxxxxxxxxxxx xxxxxx xxxxxxxxxxxxxx 2774Mirae Asset xxxxx xxxxxxxxxxxxx xxxxxx xxxxxxxxxxxxxx 109532775Mirae Asset xxxxx xxxxxxxxxxxxx xxxxxx xxxxxxxxxxxxxx 56Mirae Asset xxxxx xxxxxxxxxxxxx xxxxxx xxxxxxxxxxxxxx ncelFavorite transaction is enabled for usersto mark any transaction as favorite forfuture use.In case, an investor wants to repeat thesame transaction again, he can simplygo to favorite transactions and click ontransact and all relevant fields will bepre-populated.An investor can also mark thetransaction as favorite and investor cantransact in the same scheme directly.The investor can also cancel thefavorite transaction from the list.

MULTI SCHEME (CART MODE)CLICK TO SELECT THE SCHEME YOU WANT TO INVEST INEQUITYDEBTLIQUIDNFOALLCart mode transactions allow investors totransact in up to 5 schemes in a singletransaction.Mirae Asset xxxxxxxx xxxxxx xxxxxxMirae Asset xxxxxxxx xxx xxxx xxxxx xxxxxxMirae Asset xxxxxxxx xxxxxx xxxxxxMirae Asset xxxxxxxx xxxx xx xxxxxxxx xxxxxxMirae Asset xxxxxxxx xxxxxx xxxxxxThe investor has to select the category,scheme, plan/option and amount.Mirae Asset xxxxxxxx xxxxxx xxxxxxHe/she can add more products andselect to proceed for payment throughNet banking or NEFT/RTGS.Additional PurchaseMirae Asset xxxx xxxxxx xxxxxx xxChangeInvestment OptionDistributorDirectSelect Plan:Select Option:Minimum AmountAmount: BackPROCEEDProduct DetailsScheme NameInvested Amount DeleteMirae Asset xxxxxxx xxxxxxxxxxx xxxxxxxxxxx xxxxx xxxxx5000Mirae Asset xxxxxxx xxxxxxxxxxx xxxxxxxxxxx5000ADD MORE SCHEMESPROCEED TO PAYMENTEdit

REDEMPTIONRedemptionYou have chosen to redeem your units. Please select the Scheme-Plan-Option from which you would like Redeem your units.Folio Number:Investor Name:79914504716 - TRISHNA AJIT DATTANI79914504716 - TRISHNA AJIT DATTANIScheme NameMirae Asset xxxxxx xxxxxxx xxxxxxxxxxxxxxx xxxxxxxxxxx xxxxxNAV (Net AssetValue)NAV DateCut-offTimeUnitBalance05/06/20201:00 PM1726.460ClearUnitsCurrentValue (Rs)TransactGORedemptionPlease select the full or Partial redemption type. YOu may either specify redemption in monetary value i.e the desiredamount or in terms of the numbers of units.You will be allowed to redeem only to the extent of the clear units available in the selected Scheme/Plan/Option.Please note that the units will be redeemed based on the applicable NAV. Units redeemed after the cut off time will beprocessed as per the rate / NAV of the next business day.Scheme NameFirst Holder NameSecond Holder NameThird Holder NameBalance UnitsClear Units(Units available for redemption)Latest NAV::::::Mirea Asset xxxxx xxxxxxxxxxxxx xxxxxxx xxxxxxx xxxxxXXXXXXXX XXXXX XXXXXX1726 4601726 460:50.1480Please provide the Redemption Details.Redemption Type:Redemption is in terms of:Redemption Value/Units*:Investor Bank Details:FullAmountPartialUnitsSelect BankI/We have read and understood the contacts of the Offer Document(s). Load Structure(s) of the respective Scheme(s) and agree to abide by theterms, conditions, rules and regulations of the respective Scheme(s)SCHEDULE FOR FUTURESUBMITBACKYou can redeem from anyscheme in full or partial amountor units. Enter the amount,select the bank and proceed.

SWITCHSwitchFolio Number: XXXXXXXXXXXSecond Holder Name: XXXXXXXX XXXXX XXXXXXFirst Holder NameThird Holder NameBalance UnitsClear Units (Units availablefor switch)Approx. Market ValueNAV as onswitch-out fromSwitch-in to Scheme: XXXXXXXX XXXXX XXXXXX: XXXXXXXX XXXXX XXXXXX: 0000: 0000: 0000: 0000: Mirae Asset xxxxx xxxxxxxxxxxxxx xxxxxxxxxxxxxxxxx-xxxxxx: Mirae Asset xxxxx xxxxxxxxxxxxxx xxxxxxxxxxxPlease provide the Switch DetailsSwitchType:Switch is in term of:Switch ts000000-0If you are investing through an RIA, share their detailsRIA Code:*(INA123456789)I/We have read and understood the contents of the Offer Document(s), Load Structure(s) of the respective Scheme(s) and agree to abide by the terms,conditions, rules and regulations of the respective Scheme(s).linNe hereby give you my/our consent to share/provide the transactions data feecUporttolio holdings/NAV etc. in respect of my/our investments underDirect Plan of all Schemes managed by you, to the above mentioned SEBI Registered Investment Adviser! RIA/Portfolio Manager.Disclaimer: The Registrar of the AMC will allot the number of units for the total investment amount, The number of Units allotted by the Registrar willreflect in your online account statement within 2 working days.SCHEDULE FOR FUTURESUBMITCHANGEYou can switch from any schemein full or partial amount or units.Enter the amount, select thebank and proceed.

iSIPSystematic Investment PlanScheme Category:NFOScheme:Mirae Asset xxxxxx xxxxxx xxxxxDistributorInvestment Mode:Plan:Directxxxxxx xxxxx - xxxxxOption:xxxxxxxxFrequency:Minimum Amount:SIP Amount (in Rs.):SIP Date:SIP Period From:SIP Period To:No. of 1/12/2099954Broker Code:000000-0RIA code:*INA000000045List of registered banks:HDFC BANK - 00191000215783If you are investing through an RIA, share their details(INA123456789)Goal SIP - Do you want to assign a goal for your SIP?YesNoI hereby confirm that the subscription payment towards this transaction will be made from my registered bank accountonly. I/We hereby declare that the amount invested in the Scheme is through legitimate sources only and does not involveand is not designed for the purpose of any contravention or evasion of any Act, Rules, Regulations, Notifications or Directionsissued by any Regulatory Authority. Mirae Assest Mutual fund can verify details with external service providers and If it isfound and Mirae Assest AMC believes that the transaction is suspicious in nature and / or that the payment towards thetransaction has been made in contravention of any Regulations, then the transaction shall be rejected with an intimation tothe investor's email id.l/we acknowledge that Mirae Asset Mutual Fund, not re-instate the units for the failed/unsuccessfultransaction due to either technical reasons at the banks end or any other reasonsSUBMITProcess for iSIP:· Select category, investmentmode, scheme, plan, options.· SIP frequency, SIP amount, SIPdate, period from to.· In case of perpetual, the SIP willbe continued till 2099.· In case, the investor is referred bya distributor, enter ARN and EUINnumber and if referred by an RIA,enter the RIA code under directinvestment.

iSIP PAUSEISIP-PauseFolio Number:79914504716 - TRISHNA AJIT DATTANIScheme NameURN NumberFrequencyAmountSIP DateMirae Asset xxxx xxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxxxMAIO3315A53325Monthly10000.0010Mirae Asset xxxx xxxxxx xxxxxxxxxxxxx xxxxxxMATS8069A53325Monthly10000.0010Please select your Pause Option forScheme:Select Pause Period:Mirae Asset xxxx xxxxxx xxxxxx xx3 Months6 MonthsPause can be registered with a minimum of 10 Days and maximum of 90 Days time gap in advance.SIP Pause Start Date(DD/MM/YYYY)SIP Pause End DAte(DD/MM/YYYY)CONTINUEPauseProcess for iSIP Pause:· Select folio, scheme andselect pause.· Pause facility is for 3 or 6 months.Select the period and date range.· The confirmation of iSIP pausewill be sent.

PHYSICAL SIP PAUSEPhysical SIP PauseFolio Number:Scheme NameMirae Asset xxxxxxxx xxxxxxx xxxxx xxxxxxxxxxxx xxxxxxx7045272191 - TRISHNA A DATTANIIH Number3355558FrequencyMonthlyAmountSIP Date2000.0028PausePhysical SIP Pause can bedone by selecting folio andselect pause the SIP, theprocess will remain same asiSIP pause facility.

iSIP CANCELLATIONISIP-CancellationFolio Number:SchemeDescriptionMirae Assetxxxxxxxxxxxxx xxxxxxxxxxxxxMirae Assetxxxxxxxxxxxxx xxxxxxxxxxxxx79914504716 - TRISHNA AJIT DATTANIURNNumberURNStatusFrequencyAmount RegistrationDateStartDateEndDateLive SIPMonthly1000002/01/201910/02/201931/12/2099Live liSIP cancellation can bedone by selecting folio andcancelling the scheme.In case, you cancel the iSIP onour website, do not forget todelete the URN and providestanding instructions to yourbank to stop SIP.

PHYSICAL SIP CANCELLATIONPhysical Sip CancellationFolio Number:SchemeDescriptionMirae Assetxxxxx xxxxxxx xxxxxxxxxxxxxxxxxxxxx79914504716 - TRISHNA AJIT DATTANIIHNumberSIPStatusLive SIPFrequencyMonthlyAmount 01/201728/12/2099CancelPhysical SIP cancellation can bedone online by selecting folioand cancelling the scheme.In case, you cancel the SIP onour website, do not forget todelete the URN and providestanding instructions to yourbank to stop SIP.

SWP REGISTRATIONSWP GuidelinesSystematic Withdrawal Plan (SWP) enables investors to redeem a pre-defined amount from their investments atregular intervals. To know the schemes available for SWP To know the schemes available for SWP. Click here.SWP facility available on 1st, 10th, 15th, 21st and 28th day of the month.In the event that such a day is a holiday, the withdrawal would be affected on the next business day.SWP will be automatically terminated if insufficient balance maintained in the Transferor Scheme or units arepledged or upon receipt of intimation of death of the unit holder.I have read and understood the Terms and Conditions. of SWPCONTINUEFolio Number:79914504716 - TRISHNA AJIT DATTANITotalUnitsAvailableUnitsNAV DateNAV ae Asset xxxxx xxxxxx xxxxxx 272390.00Mirae Asset xxxxx xxxxxx xxxxxx 31851.86Scheme NameMirae Asset xxxxx xxxxxx xxxxxx xxxxxxxxxxxxxxxxxxxxMirae Asset xxxxx xxxxxx xxxxxx xxxxxxxxxxxxxxxxxxxxPlease select scheme / plan / option given below and enter required details for SWP registrationFolio Number:SWP Type:Select OneFrequency:Select OneSWP Installment Amount:SWP Date:SelectEnrollment Period From:SelectSelectEnding Date:SelectSelectSUBMITTransactSystematic Withdrawal Plan(SWP) can be registeredonline.Select scheme's type,frequency - annually,half yearly, quarterly,monthly & amount dateand range.

SWP CANCELLATIONSWP - CancellationFolio Number:79914504716 - TRISHNA AJIT DATTANIMirae Assetxxxxxxxxxxx 2/202015/3/2024Pending forRegistrationMirae Assetxxxxxxxxxxx 1/202010/5/2036Pending forRegistrationMirae Assetxxxxxxxxxxx 202028/12/2020Pending forRegistrationSWP cancellation can be doneonline by selecting folio andcancelling thewithdrawing facility.

STP REGISTRATIONSTP RegistrationPlease select the Source scheme from the below mentioned schemesFolio Number:79914504716 - TRISHNA AJIT DATTANIScheme NameMirae Asset xxxxxxx xxxxxxxxxxx xxxxxxxxxxxxTotal AvailableNAV Date NAV ValueUnits UnitsCurrentValue5000.000 5000.00012/06/202010.010050050.0000003268.906 3268.90612/06/202047.7730156165.450000Mirae Asset xxxxxxx xxxxxxxxxxx xxxxxxxxxxxx7500.000 7500.00012/06/20209.652072390.000000Mirae Asset xxxxxxx xxxxxxxxxxx xxxx7731.43312/06/202017.0540131851.860000Mirae Asset xxxxxxx xxxxxxxxxxx xxxxxxxxxxxx0.000TransactPlease select scheme / plan / option given below and enter required details for STP registrationFolio Number:STP RequestSTP refers to Systematic Transfer Plan where in an investor invests a lump sum amount in one scheme andregularly transfers (i.e. switches) a pre-defined amount into another scheme.Transfer frequency option:STP FrequencyCycle DateFirst Holder Name:STP Type:Select OneTo Scheme Name:To Plan Name:Minimum Amount* (in Rs.)Minimum InstalmentsDailyMonday To Friday1000/-5WeeklyEvery Wednesday1000/-5FortnightlyAlternate Wednesday1000/-5Monthly1st, 10th, 15th, 21st, or 28th1000/-5Quarterly1st, 10th, 15th, 21st, or 28th1500/-5Note: For Mirae Asset xxxx xxxxx xxxxx xx (MATS) minimum amount of STP shall be Rs. 500/- and in multiplesof Rs. 500/-thereafter. Each STP Installment ‘OUT’ of Mirae Asset Tax SaverFund shall be subject to lock inperiod of 3 years from the date of allotment of Units proposed to be redeemedTo Option Name:Select SchemeSelect PlanSelect OptionFrequency:Select OneEnrollment Period From:SelectSelectSelectSelectSelectSelectSTP Installment Amount:Enrollment Period To:DirectMin Amt:Distributor"I/lWe hereby confirm that the EUIN box has been intentionally left blank by me/us as this is an "execution-only"transaction without any interaction or advice by the employee/relationship manager/sales person of the abovedistributor or notwithstanding the advice of in-appropriateness, if any, provided by the employee/relationshipmanager/sales person of the distributor and the distributor has not charged any advisory fees on this transaction".I have read and accepted the terms and conditions of 'Online Purchase facility for Mirae Assest Mutual Fund Scheme'and Scheme Informtion Document along with Statement of Additional Information of the scheme before investing.If STP date/day is a non-Business Day, then the next Business Day shall be the STP Date / Day and the samewill be considered for the purpose of determining the applicability of NAV.I/We hereby give you rny/our consent to share/provide the transactions data feed/portfolio holdings/NAV etc. Inrespect of my/our investments under Direct Plan of all Schemes managed by you, to the above mentioned SEBIRegistered Investment Adviser/ RIA/Portfollo Manager.CONTINUESUBMITSystematic Transfer Plan(STP) can be registered online.Select from scheme type,select scheme’s plan, option,frequency - daily, weekly,fortnightly, monthly, quarterly,& amount date and range.

STP CANCELLATIONSTP - CancellationFolio Number:Ihno79914504716 - TRISHNA AJIT DATTANISchemeFrequency Amount RegistrationDescriptionDateMirae Assetxxxxxx DAILY1000.0022/5/202015/6/202015/6/2021Pending forRegistrationMirae Assetxxxxxx 3/5/202003/6/2020Pending forRegistrationMirae Assetxxxxxx 6/6/202016/7/2021Pending forRegistrationCancelSTP cancellation can be doneonline by selecting folio andcancelling the transfer facility.

ACCOUNT STATEMENTMY PORTFOLIO DASHBOARDAccount Statement PORTFOLIO SUMMARYFolio Number: ACCOUNT DETAILSSelect Any Option: ACCOUNT STATEMENTFrom Date:(DD/MM/YYYY) CAPITAL GAINS STATEMENTTo Date:*(DD/MM/YYYY) TRANSACTION STATUS79914504716 - TRISHNA AJIT DATTANISpecific Date RangeSHOW SCHEMESCurrent YearPrevious YearAs On DateInvestors can download AccountStatement of the folio with thespecific date or current year,previous year or as on date.

CAPITAL GAINS STATEMENTMY PORTFOLIO DASHBOARDCapital Gains Statement PORTFOLIO SUMMARYFolio Number:* ACCOUNT DETAILSFrom Date:*(DD/MM/YYYY) ACCOUNT STATEMENTTo Date:*(DD/MM/YYYY) CAPITAL GAINS STATEMENT TRANSACTION STATUS79914504716 - TRISHNA AJIT DATTANISHOW SCHEMESInvestors can download CapitalGains Statement in the selectdate range.

TRANSACTION STATUSThis part shows if there is anypending transacti

Minimum Amount banking or NEFT/RTGS.: 5000.00 PAN - First Holder : XXXXXXXXXX PAN - Second Holder : - PAN - Third Holder : - Amount* : Direct Distributor : 000000-0 If you are investing through an RIA, share their details RIA Code : INA (INA123456789) Registered Bank* : Please select Payment Mode : Internet Banking OR NEFT / RTGS .