Effective January 1 2021, units will be allotted to the investors only upon receipt of subscription amount by the Fund House for utilisation irrespective of any scheme category/investment amount.
Net Asset Value (NAV) will be applied based on realization of funds for all purchases including systematic transactions registered prior or post January 1, 2021.
Attention - Investors & Distributor communication
As a social-distancing measure against Covid-19 outbreak, all the Investor Service centres/branch offices/collection centres of L&T MF/AMC as well as of CAMS (RTA) will remain closed w.e.f. March 23, 2020 till further notice. we request you to use our digital offerings like website www.ltfs.com and chatbot or contact your distributor who have access to our app for all financial and non-financial transactions.
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