Commission Disclosure

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We are purely a distributor of Mutual fund and hence earn our commission as a product distributor. However incidental to our services, we provide add on services like- Financial Planning , Fixed Deposit investments, Insurance advisory and others. However we do not charge any extra fees for any of these incidental services due to our key source of Income as a distributor of Mutual Funds.

As a part of our own philosophy we keep a very transparent and clear disclosure of our earnings for the understanding of our clients:

SL No AMC Name Equity funds Debt funds Liquid funds ELSS funds
1 360 ONE Mutual Fund 1.00% - 1.25% 0.25% 0.05% 0.25%
2 Aditya Birla Sun Life Mutual Fund 0.30% - 1.25% 0.10% - 1.25% 0.10% 0.80%
3 Axis Mutual Fund 0.14% - 1.77% 0.13% - 1.57% 0.04% 0.90%
4 Bajaj Mutual fund 1.60% 0.3% - 0.4% 0.05% - 0.12% -
5 Bandhan Mutual Fund 0.5% - 1.65% 0.07% - 1.3% 0.09% - 0.14% 1.20%
6 BANK OF INDIA MUTUAL FUND 0.50% - 1.25% 0.50% - 1.00% 0.02% - 0.03% 1.20%
7 Baroda BNP Paribas Mutual Fund 0.80% - 1.85% 0.15% - 1.45% 0.05% - 0.12% 1.65%
8 Canara Robeco Mutual Fund 1.05% - 1.55% 0.25% - 1.25% 0.01% - 0.08% 1.10%
9 DSP Mutual Fund 0.15% - 1.35% 0.10% - 0.70% 0.05% 0.95%
10 Edelweiss Mutual Fund 0.30% - 1.75% 0.15% - 0.70% 0.05% - 0.25% 1.75%
11 Franklin Templeton Mutual Fund 0.38% - 1.48% 0.15% - 1.39% 0.04% - 0.07% 1.12%
12 HDFC Mutual Fund 0.20% - 1.35% 0.15% - 1.10% 0.05% - 0.10% 1.00%
13 HSBC Mutual Fund 0.20% - 1.50% 0.20% - 1.35% 0.10% 1.30%
14 ICICI Prudential Mutual Fund 0.15% - 1.35% 0.10% - 1.10% 0.05% - 0.15% 0.95%
15 INVESCO MUTUAL FUND 0.15% - 1.20% 0.10% - 0.75% 0.04% - 0.05% 1.15%
16 ITI MUTUAL FUND 0.7% - 1.6% 0.5% - 1% 0.10% - 0.11% 1.65%
17 JM Financial Services Sector Fund 0.60% - 1.25% 0.45% - 0.60% 0.05% - 0.06% 1.25%
18 Kotak Mutual Fund 0.10% - 1.63% 0.05% - 1.28% 0.10% 1.32%
19 LIC MUTUAL FUND 0.02% - 1.3% 0.05% - 1.00% 0.05% - 0.05% 1.30%
20 Mirae Asset Mutual Fund 0.05% - 1.40% 0.15% - 0.85% 0.10% 0.85%
21 MOTILAL OSWAL MUTUAL FUND 0.35% - 1.50% 0.07% - 0.80% 0.15% 1.15%
22 NAVI MUTUAL FUND 0.17% - 1.40% 1.00% 0.05% - 0.20% 0.85% - 1.40%
23 NIPPON INDIA MUTUAL FUND 0.17% - 1.5% 0.05% - 1.2% 0.05% - 0.07% 1.25%
24 NJ MUTUAL FUND 0.47% - 1.21% - 0.055% - 0.055% 1.18%
25 PGIM INDIA MUTUAL FUND 0.60% - 1.65% 0.15% - 1.00% 0.05% - 0.10% 1.65%
26 PPFAS Mutual Fund 0.75% 0.30% 0.10%% 1.10%
27 Quant Mutual Fund 0.9% - 1.75% 0.9% - 1.15% 0.1% - 0.25% 1%
28 QUANTUM MUTUAL FUND 0.12% - 1.25% 0.45% - 0.45% 0.10% 1.10%
29 SAMCO MUTUAL FUND 1.35% - 1.40% - 0.20% 1.40%
30 SBI Mutual Fund 0.20% - 1.55% 0.15% - 1.22% 0.08% - 0.10% 1.04%
31 SUNDARAM MUTUAL FUND 0.55% - 1.60% 0.10% - 1.25% 0.10% - 0.15% 1.35%
32 Tata Mutual Fund 0.20% - 1.65% 0.20% - 1.45% 0.05% - 0.08% 1.25%
33 TAURUS MUTUAL FUND 0.25% - 1.40% - - 1.40%
34 TRUST MUTUAL FUND - 0.15% - 0.5% 0.05% - 0.5% -
35 UTI MUTUAL FUND 0.1% - 1.5% 0.1% - 1.25% 0.05% - 0.1% 1.15%
36 Helios mutual fund 1.50% 0.05% - -
37 Groww Mutual Fund 1.10% - 1.50% 0.09% - 0.90% 0.10% 1.40%
38 Mahindra Mutual Fund 0.80% - 1.40% 0.05% - 0.90% 0.05% 1.40%
39 Union Mutual Fund 1.25% - 1.75% 0.10% - 0.85% 0.10% 1.75%
40 Whiteoak Mutual Fund 1.00% - 1.20% 0.50% 0.05% 1.20%

  • Portfolio Expenses are capped at certain level from 1.5% to 2.75% by SEBI and is charges as per the Asset size and on annualized calculation method

  • The net NAV announced by the Fund under its regular plan is less of such charges taken on weekly average valuation of the portfolio assets

In case you need any clarification or wish to understand more on Expense ratio or our commissions, do E mail us freely or visit the branch any time from Monday to Saturday ( working time: 10 am to 6 pm)

Grievance Redressal

VGP Portfolio

An AMFI Registered MF Distributor

Important Info

AMFI Registration No.: 1132

EUIN Number: E028623

ARN Registration Date: Since about the year 2003

Current validity of ARN: 04/02/2025

Disclaimer : www.vgpportfolio.com is an online website of the partnership firm VGP Portfolio who is registered vide ARN- 1132 as a AMFI Registered Mutual Fund Distributor since about the year 2003. Current validity of ARN is till 04/02/2025. The said website is intends to provide educative and informative details related to investments and also provide online transaction facility in Mutual Funds. We do not charge any fees for these calculators and information, because we earn our commissions from the Mutual Fund companies. The website does not guarantee any returns or financial goal success by any means.