﻿<?xml version="1.0" encoding="utf-8"?><SchemeSummaryDocument xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance"><SchemeSummary><Fund_Name>Mirae Asset Dynamic Bond Fund</Fund_Name><Option_Names_Regular__Direct>Direct Plan Growth
Direct Plan IDCW - Payout
Direct PlanIDCW - Reinvestment
Regular PlanIDCW - Payout
Regular PlanIDCW - Reinvestment
Regular Plan Growth</Option_Names_Regular__Direct><Fund_Type>Dynamic Bond Fund - An Open
ended dynamic debt scheme
investing across duration. A relatively high interest rate risk and relatively
high credit risk</Fund_Type><Riskometer_At_the_time_of_Launch>-</Riskometer_At_the_time_of_Launch><Riskometer_as_on_Date>Low to Moderate</Riskometer_as_on_Date><Category_as_Per_SEBI_Categorization_Circular>Dynamic Bond</Category_as_Per_SEBI_Categorization_Circular><Potential_Risk_Class_as_on_date>C-III</Potential_Risk_Class_as_on_date><Description_Objective_of_the_scheme>The objective of the Scheme is to generate optimal returns through active management of a portfolio of debt and money market instruments. However, there is no assurance that the investment objective of the Scheme will be realized and the Scheme does not assure or guarantee any returns</Description_Objective_of_the_scheme><Stated_Asset_Allocation>Money market instruments &amp;amp; Debt securities - 0%
to 100% (Low to Medium)</Stated_Asset_Allocation><Face_Value>10</Face_Value><NFO_Open_Date>03 Mar 2017</NFO_Open_Date><NFO_Close_date>17 Mar 2017</NFO_Close_date><Allotment_Date>24 Mar 2017</Allotment_Date><Reopen_Date>27 Mar 2017</Reopen_Date><Maturity_Date_For_closedend_funds>N/A</Maturity_Date_For_closedend_funds><Benchmark_Tier_1>CRISIL Dynamic Bond A-III Index</Benchmark_Tier_1><Benchmark_Tier_2>Nifty PSU Bond Plus SDL Apr 2027 50:50 Index</Benchmark_Tier_2><Fund_Manager_Name>Mr. Basant Bafna - Primary</Fund_Manager_Name><Fund_Manager_Type_PrimaryComanageDescription>Mr. Basant Bafna - Primary</Fund_Manager_Type_PrimaryComanageDescription><Fund_Manager_From_Date>Mr. Basant Bafna - December 27, 2025</Fund_Manager_From_Date><Annual_Expense_Stated_maximum>Regular 1.02, Direct 0.14</Annual_Expense_Stated_maximum><Exit_Load_if_applicable>NIL</Exit_Load_if_applicable><Custodian>SBI – SG Securities Pvt. Ltd., Mumbai</Custodian><Auditor>M/s. Chokshi &amp;amp; Chokshi, Chartered Accountant</Auditor><Registrar>KFIN Technologies Limited</Registrar><RTA_Code_To_be_phased_out>DB</RTA_Code_To_be_phased_out><Listing_Details>N/A</Listing_Details><ISINs>INF769K01DO5
INF769K01DP2
INF769K01DQ0
INF769K01DR8
INF769K01DS6
INF769K01DT4</ISINs><AMFI_Codes_To_be_phased_out>140769
140770
140771
140772</AMFI_Codes_To_be_phased_out><SEBI_Codes>MIRA/O/D/DBF/17/01/0008</SEBI_Codes><Minimum_Application_Amount>5000</Minimum_Application_Amount><Minimum_Application_Amount_in_multiples_of_Rs>1</Minimum_Application_Amount_in_multiples_of_Rs><Minimum_Additional_Amount>1000</Minimum_Additional_Amount><Minimum_Additional_Amount_in_multiples_of_Rs>1</Minimum_Additional_Amount_in_multiples_of_Rs><Minimum_Redemption_Amount_in_Rs>1</Minimum_Redemption_Amount_in_Rs><Minimum_Redemption_Amount_in_Units>Any Units</Minimum_Redemption_Amount_in_Units><Minimum_Balance_Amount_if_applicable>N/A</Minimum_Balance_Amount_if_applicable><Minimum_Balance_Amount_in_Units_if_applicable>N/A</Minimum_Balance_Amount_in_Units_if_applicable><Max_Investment_Amount>Any Amount</Max_Investment_Amount><Minimum_Switch_Amount_if_applicable>5000</Minimum_Switch_Amount_if_applicable><Minimum_Switch_Units>-</Minimum_Switch_Units><Switch_Multiple_Amount_if_applicable>1</Switch_Multiple_Amount_if_applicable><Switch_Multiple_Units_if_applicable>-</Switch_Multiple_Units_if_applicable><Max_Switch_Amount>Any Amount</Max_Switch_Amount><Max_Switch_Units_if_applicable>Any Units</Max_Switch_Units_if_applicable><Swing_Pricing_if_applicable>Yes</Swing_Pricing_if_applicable><Sidepocketing_if_applicable>Enabled.</Sidepocketing_if_applicable><SIP_SWP__STP_Details_Frequency>SIP - Monthly /  Quarterly
SWP - Monthly /  Quarterly / Halfyearly / Yearly
STP - Daily / Weekly / Fortnightly / Monthly
/ Quarterly</SIP_SWP__STP_Details_Frequency><SIP_SWP__STP_Details_Minimum_amount>1000</SIP_SWP__STP_Details_Minimum_amount><SIP_SWP__STP_Details_In_multiple_of>1</SIP_SWP__STP_Details_In_multiple_of><SIP_SWP__STP_Details_Minimum_Instalments>5</SIP_SWP__STP_Details_Minimum_Instalments><SIP_SWP__STP_Details_Dates>SIP - Except 29,30 and 31 all dates
SWP - 1, 10, 15, 21 and 28
STP -  Daily, Weekly only Wednesday, Fortnightly - alternate Wednesday, Monthly</SIP_SWP__STP_Details_Dates><SIP_SWP__STP_Details_Maximum_Amount_if_any>NA</SIP_SWP__STP_Details_Maximum_Amount_if_any></SchemeSummary></SchemeSummaryDocument>