HSBC MF Retire With An SIP 728x90

Mutual Fund Benchmark Returns

Summary

Benchmark Name SIP Investment Cost SIP Value as on 24-06-2025 Growth Amount Enhanced Growth Amount Enhanced Growth (%) CAGR Returns (%)
NIFTY 50 TRI 72300.00 81178.19 8878.19 3428.17 4.41% 12.36

Cash Flow

NIFTY 50 TRI
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
24-07-2023 28784.26 0.1042 3000.0 2999.32
24-08-2023 28438.68 0.2097 6000.0 5963.59
25-09-2023 28860.9 0.3136 9000.0 9050.78
25-10-2023 28079.26 0.4204 12000.0 11804.52
24-11-2023 29087.95 0.5235 15000.0 15227.54
26-12-2023 31507.69 0.6187 18000.0 19493.81
24-01-2024 31540.07 0.7138 21000.0 22513.3
26-02-2024 32565.29 0.8059 24000.0 26244.37
26-03-2024 32392.94 0.8985 27000.0 29105.06
24-04-2024 32978.37 0.9895 30000.0 32632.1
24-05-2024 33881.75 1.078 33000.0 36524.53
24-06-2024 34834.33 1.1641 36000.0 40550.64
24-07-2024 36160.36 1.2554 39300.0 45395.72
26-08-2024 37127.3 1.3443 42600.0 49910.23
24-09-2024 38507.55 1.43 45900.0 55065.8
24-10-2024 36227.52 1.5211 49200.0 55105.68
25-11-2024 36013.85 1.6127 52500.0 58079.54
24-12-2024 35278.97 1.7062 55800.0 60192.98
24-01-2025 34366.04 1.8022 59100.0 61934.48
24-02-2025 33612.18 1.9004 62400.0 63876.59
24-03-2025 35261.27 1.994 65700.0 70310.97
24-04-2025 36138.21 2.0853 69000.0 75359.01
26-05-2025 37290.3 2.1738 72300.0 81061.65

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