Statement Date : 19-Mar-2025
Statement Period : From 18-Mar-2025 To 18-Mar-2025 Page 1 of 2
Folio No. : 34022026 / 38
Tanish Bank Account Number : SB / XXXXXXXX5854
Bank Details : ICICI BANK LIMITED / SHARDA
IFSC Code/MICR No : UNIVERSITY
ICIC0007692 / GAUTAM BUDDHA
S/O RAJEEV KUMAR, 8767/4, MULTANI, DHANDA, PAHAR
Tax Status : NAGAR
Individual
GANJ, CENTRAL DELHI, , DELHI,
CENTRAL DELHI - 110055 Mode of Payout : ELECTRONIC PAYMENT
DELHI, India
Distributor : ARN-187821 / PHONEPE WEALTH
BROKING PRIVATE LIMITED
Mobile No. : XXXXXXXXX6987 (Self)
E-mail ID : tXXXXXXXXX7@gXXXl.com
(Self)
Mode of Holding : Single
Nominee Details
Sr.No. Nominee Name Date of Birth Guardian Name (in case of minor) Share (%)
1 XXXXXXXXXXVI N/A N/A 100%
PAN AADHAR Supplementary
PAN/PEKRN KYC FATCA CKYC No. UBO
LINKING KYC
1st Holder XXXXXX134P Successful Validated Registered Done Not Available Not applicable
2nd Holder
3rd Holder
Guardian,
if any
Systematic Registrations
Registration Package From Date Target Cycle Installment Broker Top up Top up % / Policy
Scheme Frequency
Type Name To Date Amount Day Amount (INR) Code Frequency Amount (INR) Number
SIP ICICI Prudential Value 07-Nov-2024 NA Once A 07 200.00 ARN-187821 NA NA NA
Discovery Fund - 07-Sep-2054 Month
Growth
DFG / INF109K01AF8 / ICICI Prudential Value Discovery Fund - Growth
Date Transaction Type Amount (INR) NAV(INR) Price (INR) No. of Units Balance Units
Opening Balance as on 18/03/2025 3.612
Redemption - ELECTRONIC PAYMENT-BSE - less STT, (1,525.70) 426.67 422.40 (3.612)
18/03/2025 0.000
Exit Load
*** STT Paid *** (0.02)
*** Exit Load Deducted *** 15.40
Units Under Lien : 0.000 Name Of Financier : Not Applicable
Free units available TO REDEEM/SWITCH : 0.000
EISC-CAMSWEB-16.11.0-190325102628(I)-A1611011--1141
Current Value(INR) of Units: 0.00
NAV as of 31st Jan 2018 :
Current : Entry Load - Nil. Exit Load w.e.f 07-May-2013 [including SIP,STP,SWP&Micro(SIP) wherever available] - If redeemed or switched out upto 12 months - 1.0%, >
12 months - Nil. For lumpsum investment/switch in, the applicable load will be based on the load structure as on the date of investment/applicable NAV date. For SIP/STP
transactions, load for each transaction is based on the applicable load structure as on the registration date. For details, please refer to SID and Addenda available on
www.icicipruamc.com.
In case of any further assistance or clarification, (1) you can get in touch with your financial distributor/advisor OR (2) write to us at enquiry@icicipruamc.com OR (3) contact on our customer
care helplines 1800 222 999/1800 200 6666(Monday to Saturday- 8 am to 8 pm / Sundays- 9 am to 7 pm)
... continued on next page
Statement Date : 19-Mar-2025 Statement Period : From 18-Mar-2025 To 18-Mar-2025
Folio No. : 34022026 / 38 Page 2 of 2
COMMON TRANSACTION SLIP (For existing Unitholders only)
ADVISER CODE (ARN CODE) SUB BROKER ARN CODE Employee Unique SUB-BROKER CODE Agent/Advisor Name and Mobile No
Identification No.(EUIN) (As allotted by ARN holder)
PHONEPE WEALTH BROKING PRIVATE
ARN-187821 LIMITED
Upfront commission shall be paid directly by the investor to the AMFI registered Distributors based on the investor's assessment of various factors including the service rendered by the distributor.
Declaration for "execution-only" transaction (only where EUIN box is left blank)
I/We 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 above
distributor or notwithstanding the advice of in-appropriateness, if any, provided by the employee/relationship manager/sales person of the distributor and the distributor has not charged any advisory fees on this transaction.
Signature of Sole/First Holder Signature of Second Holder Signature of Third Holder
FOLIO NO.(Mandatory) :34022026 / 38 TAX STATUS : Individual MODE OF HOLDING : Single
1st Holder
Tanish ) XXXXXX134P Validated
(Mandatory)
t hol der(s s*
2nd Holder NA e Uni NA * tatu
SNA
ft h PAN KYC
3rd Holder NA N ame o NA NA
* PAN & KYC are mandatory for all applicants including NRIs. In case there is any changes in your KYC information please update the same by using the prescribed 'KYC change request form' available on our
website www.iciciprumf.com under downloads section, and submit the same at the point of service of any KYC registration Agency.
Contact Mobile Number and/or Land Line Number
details of
First/Sole
applicant E-mail address
Additional Purchase Request (Cheque/DD to be drawn in favour of "Name of the Scheme" ). In case you do not mention Plan and/or Option units will be allotted under default option as per respective
scheme information documents.
Scheme Name PLAN: OPTION:
Drawn on Bank
Cheque / DD No.
Name & Branch
Amount of cheque/ DD charges, if any.
Cheque / DD Date D D M M Y Y Y Y DD in figures (Rs.) Rs. (in figures)
Bank Current Savings NRO NRE FCNR
Account Type
A/c No. Others (Please specify)
Documents attached to avoid Third Party Payment Rejection where applicable: In case, the additional purchase amount 10,000 or above and distributor has opted
Bank Certificate - for DD Third Party Declaration to receive transaction charges, 100/- will be deducted from the Purchase amount
For third party investment/pre-funded instrument, please fill in a separate declaration form as available with AMC. and paid to the distributor. Units shall be allotted for the balance amount only.
Redemption Request (For details, please refer to the SID of the Scheme) I wish to redeem : Rs. or Units
From(Scheme, Plan & Option)
Switch Request (Please refer to the SID of the scheme) I wish to switch : Rs. or Units
From(Scheme, Plan & Option) To(Scheme, Plan & Option)
If you have registered for multiple bank account facility in the above folio please specify the bank details in which you wish to receive the redemption proceeds. The bank account should be one of the registered
bank account in the folio else the payout will be released to the default bank account registered for the folio.
Bank Name Bank A/c No.
YOUR CONFIRMATION/DECLARATION: I/We have read and understood the contents of the Scheme Information Document(s)/Key Information Memorandum(s) & Statement of Additional Information(s)
of the Scheme(s) and agree to abide by the terms, conditions, rules and regulations of the Scheme(s) as on the date of this transaction. The ARN holder has disclosed to me/us all the commissions (in the form of trail commission
or any other mode), payable to him for the different competing Schemes of various Mutual Funds from amongst which the Scheme is being recommended to me/us. I/We hereby confirm that I/we have not been
offered/communicated any indicative portfolio and/or any indicative yield for this investment.
EISC-CAMSWEB-16.11.0-190325102628(I)-A1611011--1141
Signature(s) (To be signed as per Mode of Holding)
First Holder Second Holder Third Holder
ICICI Prudential Asset Management Company Limited
Corporate Office : One BKC, A - Wing 13th Floor, Bandra Kurla Complex,Bandra (East),Mumbai - 400051.Tel: +91 22 2652 5000 Fax: +91 22 2652 8100.www.icicipruamc.com
Central Service Office : 2nd Floor,Block B-2,Nirlon Knowledge Park,Western Express Highway,Goregon(E),Mumbai - 63,Tel: 91-22-2685 2000 Fax: 91-22-2686 8313.www.icicipruamc.com
Contact us : Customer care helpline at 1800222999/18002006666 (Monday to Saturday- 8 am to 8 pm and on Sundays- 9 am to 7 pm)