An account statement is a statement that informs you the number of units you own across our schemes/funds, the value per unit and your total investment value based on the latest NAV.
Account Statements stating the number of units are sent by ordinary post/ or electronic mail (if we have your email id) to unit holders within the following periods:
- For fresh/ additional purchase: Within 5 Business Days from the date of allotment of Units.
- For redemption/ switch: Within 3 Business Days from the date of acceptance of redemption request or Applicable NAV, whichever is later.
- For SIP/ STP: Within 10 Business Days from the end of each quarter (March, June, September, December).
Account statements are also sent annually by April 30th for the preceding fiscal year, i.e. April to March, to all clients who have completed at least one transaction in the fiscal year.
Additional statements will be sent to you on request. You can email us at service@dspblackrock.com, submit online request by clicking here, call our toll free number 1-800-200-4499, or contact us at any of our offices to request for additional statements.