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New Fund Offers: dates and official documents

Research mutual fund launches and separately labelled SIF strategies. Read the reported schedule, investment objective and original documents before considering an offer.

Schedule assessment: 2026-10-02 (IST). Dates describe reported offer periods, not confirmed transaction availability.

Reported mutual fund offers

Reported Specialized Investment Fund offers

SIF strategies have distinct terms and investor eligibility. Their inclusion does not mean they suit every investor; use the original strategy documents for complete conditions.

Retained offer records

No records in this section.

What to check before comparing offers

A new fund has no live performance history at launch. An offer price does not establish a discount, and a reported objective is not a promised outcome. Read costs, liquidity, benchmark, risk and application conditions in the original document. Minimum subscription figures are omitted here because the feed can abbreviate the full conditions.

Offer records are supplied by FinAPI. Official references: AMFI mutual fund offers and AMFI SIF offers.

Read the NFO guide · Find fund-house disclosures

Frequently Asked Questions

What is a mutual fund NFO?

A new fund offer is the initial subscription period for a new scheme. Read its investment objective, portfolio approach, risks, costs and offer terms in the original documents. Launching a new scheme does not guarantee investment returns.

Does a ₹10 offer price make a new fund cheaper?

The rupee price per unit does not establish how attractively the underlying investments are valued. An NFO's offer price is also not a current trading or NAV observation. Compare the investment strategy, costs, risks and alternatives rather than the unit price alone.

Are SIF offers the same as ordinary mutual fund NFOs?

Specialized Investment Fund strategies are shown in their own section. They can have different eligibility, minimum investment, liquidity and risk conditions. Read the strategy's official information document and current issuer notices; a displayed offer is not a suitability recommendation.

Do the reported dates confirm I can apply now?

No. Status labels describe the reported schedule as assessed on the displayed IST date. Amendments, early closure, cutoffs and investor eligibility must be checked with the issuer. Saved records whose scheduled period is current or future are labelled unconfirmed.