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Risks - Angel Investment

Risk Factors

  1. Investments in Alternate Investment Funds are subject to market risks, read all related documents carefully.
  2. Investments in AIF Units involves investment risks such as  default risk including the possible loss of principal.
  3. As the price / value / interest rate of the securities in which the Scheme(s) invests fluctuates, the value of your investment in the Scheme(s) may go up or down depending on the various factors and forces affecting the companies in which LV Angle Fund (“AIF”) invests in.
  4. There can be no assurance that any Scheme objective will be achieved.
  5. There is no assurance or guarantee to unit holders as to the return on their units
  6. Past performance of Schemes and the underlying entities in which they invest do not indicate the future performance of the Schemes of the AIF.
  7. The name of the Scheme(s) do not in any manner indicate either the quality of the Scheme(s) or their future prospects and returns.
  8. Lets Venture and its affiliates are not responsible or liable for any loss resulting from the operation of the Scheme(s).
  9. Unless specified, the Scheme(s) of the AIF are not guaranteed or assured return scheme(s).

Disclaimer

  1. The information contained on this site is for informational purposes only and should not be construed as an offer to sell, a solicitation of an offer to buy, or a recommendation for the units of AIF schemes.
  2. Each of LIC Mutual Fund schemes are offered only through the Scheme Information Document or the key information memorandum available with respect to each fund, prepared in accordance with the Securities and Exchange Board of India (Mutual Funds) Regulations – 1996, as amended till date.
  3. The Scheme Information Document contains information necessary for an investor to make informed investment decision in any of the Scheme of LIC Mutual Fund. Please read the Scheme Information Document carefully in its entirety prior to making an investment decision and retain the Scheme Information Document for future reference.
  4. Investment in mutual fund Units involves investment risks such as trading volumes, settlement risk, liquidity risk, default risk, including the possible loss of principal.
  5. As the price / value / interest rates of the securities in which the Scheme invest fluctuates, the value of investors' investments in the Schemes may go up or down. In addition to the factors that affect the value of individual securities, the NAV of the Schemes can be expected to fluctuate with movements in the broader equity and bond markets and may be influenced by factors affecting capital markets in general, such as, but not limited to, changes in interest rates, currency exchange rates, changes in governmental policies, taxation, political, economic or other developments and increased volatility in the stock and bond markets.
  6. The names of the Schemes do not in any manner indicate either the quality of the Schemes or its future prospects and returns.
  7. The Schemes are not guaranteed or assured return Schemes.