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2026-09-30 05:56:37 pm | Source: Accord Fintech
PGIM India AMC announces reopening of subscription in Global Select Real Estate Securities Fund of Fund
PGIM India AMC announces reopening of subscription in Global Select Real Estate Securities Fund of Fund

PGIM India Asset Management (AMC) has announced to the Scheme Information Document (‘SID’) and Key Information Memorandum (‘KIM’) of the scheme.  With reference to its Notice Cum Addendum dated March 09, 2026 regarding temporary suspension of subscriptions in PGIM India Global Equity Opportunities Fund of Fund, PGIM India Emerging Markets Equity Fund of Fund and PGIM India Global Select Real Estate Securities Fund of Fund read with its Notice Cum Addendum dated May 15, 2026, June 04, 2026, June 10, 2026, July 07, 2026 and August 04, 2026 regarding reopening, revision and suspension of subscription in aforementioned Schemes. 

 

SEBI vide its letter no. SEBI/HO/OW/IMD-II/DoF3/P/25095/2022 dated June 17, 2022 had permitted Mutual Funds to accept subscriptions and to invest in overseas funds /securities upto the headroom available without breaching the overseas investment limits as of EOD of February 1, 2022 at Mutual Fund level. In view of the same, PGIM India Mutual Fund has informed that the AMC has decided to allow subscription in PGIM India Global Select Real Estate Securities Fund of Fund with effect from October 08, 2026, in the following manner: a) Lumpsum transactions (Fresh / Additional purchase), b) Switch-in transactions, c) Existing Systematic Investment Plans.

 

The fresh registrations of Systematic Investment Plan (SIP) / Systematic Transfer Plan (STP) and existing Systematic Transfer Plan (STP) in PGIM India Global Select Real Estate Securities Fund of Fund remains temporarily suspended. 

This Notice-cum-Addendum forms an integral part of SID and KIM of PGIM India Global Select Real Estate Securities Fund of Fund, as amended from time to time. All the other terms and conditions of SID and KIM of PGIM India Global Select Real Estate Securities Fund of Fund will remain unchanged.

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