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Your Account At A Glance

Kindly register your Email ID and Mobile no. for faster communications. Investor may please note that, as per recent guidelines, a
Consolidated Account Statement(CAS), for all transactions done across all schemes of all mutual funds the month, will be sent on or before
10th of the succeeding month. Please visit our website www.miraeassetmf.co.in for complete details.

Folio No. 7995 0009 951 CAN : Statement Date : 01 Apr 2022
THIRUPATHI GADIPELLY Status INDIVIDUAL Mode of Holding: SINGLE
DMAT ID : Physical Mode Payout mode DIRECT CREDIT
S/O GADIPELLY SATHAIAH 27-395/15-36, THILAK NAGAR Acct Type / Acct No Savings / 50XXXXXXXXXXX5530
ROAD HAMALIWADA THILAK NAGAR ROAD NEAR RISINGSUN Default Bank HDFC BANK
SCHOOL THILAK NAGAR ROAD
ADILABAD TELANGANA PIN : 504208 Bank Address CTM ROAD, MADANAPALLE / MADANAPALLE / 517325

Res. Phone : 9866443736 Mobile : 9866443736 IFSC Code HDFC0002435

Non-Transferable
E-Mail : thirukrushi7@gmail.com
ARN / RIA 000000-0/DIRECT/
Sub Broker / EUIN

Nominee : SHWETHA GUMMULA (100.00%) PAN and KYC Details PAN KYC / KIN FATCA / UBO
First Holder AVZPG6555E Verified Yes/No
Joint Holder 1
Joint Holder 2
Guardian / POA
Mirae Asset Tax Saver Fund - Direct Growth Growth ISIN : INF769K01DM9 Balance Units : 1195.289
Trade Date Transaction Amount (`) NAV Price (`) Number of Units Balance Units
Online Opening Balance 866.279
Net Purchase(NAV Dt : 31/03/2022) 27,998.60 33.4320 33.432 837.479 866.279
Trxn.Ref.No.220907652333/HDFC BANK LIMIT
31/03/2022 Online Gross Purchase(NAV Dt : 31/03/2022) 11,000.00
Online Stamp Duty 0.55
Net Purchase(NAV Dt : 31/03/2022) 10,999.45 33.4320 33.432 329.010 1,195.289
Trxn.Ref.No.220907661455/HDFC BANK LIMIT
Current Value : (`) 39,960.90 Investment Value : (`) 40,000.00 NAV:(`) 17.7870 ( as on 31/01/2018) NAV : (`) 33.432 (as on 31/03/2022)
Multiple Bank Registered : No POA Registered : No Lien Units : 0.000 ( )
Current Load Structure
Current Load Structure : Entry Load - NIL ,Exit Load - NIL subject to lock-in period of 3 years.The above Investment in Mirae Asset Tax Saver Fund, is eligible for applicable tax benefits under section 80C of Income Tax Act
1961.Units allotted in Multiples of Rs.500/-,

Allotment of units is subject to realisation of funds.The Initial Statement of Account, will reflect the Correspondence Address, as is been data entered at the time of receipt of application, subsequently, the Correspondence Address will be as per the
KYC records.This is a computer generated statement and does not require signature.
Statement Preference : By Post

Refno-WB99 /160444268 CA : Hy03-CONF-MAILERDR-01.04.2022 / LA: Conf-01.04.22-4 Continued .. 2

Folio No : 79950009951 CAN : Mode of Holding : SINGLE


Scheme : Mirae Asset Tax Saver Fund - Direct Growth Growth
PAN, KYC and FATCA Details PAN KYC / KIN FATCA / UBO
1st Holder THIRUPATHI GADIPELLY AVZPG6555E Verified Yes/No ARN/RIA Code - 000000-0 /
2nd Holder Sub Broker ARN -
3rd Holder Sub Broker Code -
Guardian EUIN -
Scheme Name Option-Growth O or * IDCW O
*IDCW Payout O 'OR' IDCW Reinvestment O Please mention frequency-
Strike off section that are not applicable

Add. Purchase-I/We wish to apply units for (`)(figures) Switch Request-I/We wish to switch units for (`)(figures)
(`)(words) (`)( words)
Chq/ DD Number Dated Or Units
TRANSACTION SLIP

Drawn On Bank To Scheme


Branch City Plan
Account Type- Savings O Current O NRE O NRO O
EUIN- I/We have read & understood the contents of the SID(s)/KIM(s)/SAI(s) and Addendum(s) thereto of
S the respective Scheme(s),along with the terms on Employee Unique Identification Number(EUIN) for
I "Execution-Only" transaction(s) and agree to abide by the terms, Conditions, Rules & Regulations of the
Redemption-I/We wish to redeem units for (`)(figures)
G Scheme(s) as applicable from time to time.
N
(`)(words):
A
Or Units 'OR' ALL UNITS O T
U
O Direct Credit to other than Default Bank Account - I/We request you to directly credit R
E
the proceeds to my bank 1st Applicant/Guardian/ 2nd Applicant/ 3rd Applicant/
s
for this transaction, which is one of the multiple Bank already registered under the Folio Auth.Signatory/PoA/Karta Auth. Signatory/PoA Auth. Signatory/PoA

1.We request you to please provide KRA-KYC status overleaf. 2.All Application under Direct Plan of any scheme will be processed as 'Direct Application' without any Broker Code, Even if Broker
code is given on the application.3.Please use different transaction slips for more than one transaction.
Your Account At A Glance
Kindly register your Email ID and Mobile no. for faster communications. Investor may please note that, as per recent guidelines, a
Consolidated Account Statement(CAS), for all transactions done across all schemes of all mutual funds the month, will be sent on or before
10th of the succeeding month. Please visit our website www.miraeassetmf.co.in for complete details.
Folio No:7995 0009 951 Name :THIRUPATHI GADIPELLY

Your Portfolio Statement


Scheme Name Purchase Amount Balance Units NAV Date Current NAV Current Value
Mirae Asset Tax Saver Fund - Direct Growth Growth 40,000.00 1,195.289 31/03/2022 33.4320 39,960.90

Total Portfolio Value 40,000.00 1,195.289 39,960.90

Refno-WB99 /160444268 CA : Hy03-CONF-MAILERDR-01.04.2022 / LA: Conf-01.04.22-4 Continued .. 2

Folio No : 79950009951 CAN : Mode of Holding : SINGLE


Scheme : Mirae Asset Tax Saver Fund - Direct Growth Growth
PAN, KYC and FATCA Details PAN KYC / KIN FATCA / UBO
1st Holder THIRUPATHI GADIPELLY AVZPG6555E Verified Yes/No ARN/RIA Code - 000000-0 /
2nd Holder Sub Broker ARN -
3rd Holder Sub Broker Code -
Guardian EUIN -
Scheme Name Option-Growth O or * IDCW O
*IDCW Payout O 'OR' IDCW Reinvestment O Please mention frequency-
Strike off section that are not applicable

Add. Purchase-I/We wish to apply units for (`)(figures) Switch Request-I/We wish to switch units for (`)(figures)
(`)(words) (`)( words)
Chq/ DD Number Dated Or Units
TRANSACTION SLIP

Drawn On Bank To Scheme


Branch City Plan
Account Type- Savings O Current O NRE O NRO O
EUIN- I/We have read & understood the contents of the SID(s)/KIM(s)/SAI(s) and Addendum(s) thereto of
S the respective Scheme(s),along with the terms on Employee Unique Identification Number(EUIN) for
I "Execution-Only" transaction(s) and agree to abide by the terms, Conditions, Rules & Regulations of the
Redemption-I/We wish to redeem units for (`)(figures)
G Scheme(s) as applicable from time to time.
N
(`)(words):
A
Or Units 'OR' ALL UNITS O T
U
O Direct Credit to other than Default Bank Account - I/We request you to directly credit R
E
the proceeds to my bank 1st Applicant/Guardian/ 2nd Applicant/ 3rd Applicant/
s
for this transaction, which is one of the multiple Bank already registered under the Folio Auth.Signatory/PoA/Karta Auth. Signatory/PoA Auth. Signatory/PoA

1.We request you to please provide KRA-KYC status overleaf. 2.All Application under Direct Plan of any scheme will be processed as 'Direct Application' without any Broker Code, Even if Broker
code is given on the application.3.Please use different transaction slips for more than one transaction.

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