ING ing Private-Customized Investment Solutions

ING Private Portfolio Management Services: Risk Factors
ING Investment Management (India) Pvt. Ltd.

Risk Factors

Investments in Portfolio Management Products are subject to market risks due to various micro and macro factors and forces affecting the capital markets, which include price fluctuation risks.
There is no assurance or guarantee/warranty that the objectives of any of the Products will be achieved.
The products may not be suited to all categories of Investors/Recipients.
As with any investment in any securities, the value of the portfolio under any Product can go up or down depending on the factors and forces affecting the capital market.
Securities investments are subject to the market risks and there is no assurance or guarantee that the investment objectives of any products will be achieved.
Past performance of the Portfolio Manager or their affiliates does not indicate the future performance of the products.
Derivatives/Futures and Options products may be affected by various risks including, but not limited to counterparty risk, market risk, valuation risk, liquidity risks and basis risks. The use of a Derivative requires an understanding not only of the underlying instrument but also of the derivative itself. Investors/Recipients must make their own investment decisions based on their own specific investment objectives, their financial position and using such independent professional advisors, as they believe necessary, before investing in such Products.
Please read the Disclosure Document carefully before investing.