Motilal Oswal MF Flexicap Fund 728x90

Mutual Fund Benchmark Returns - Recurring Deposit

Summary

Summary

Benchmark Name No of Installments Investment Amount Value as on 20-04-2020 XIRR(%) Action
Recurring Deposit 121 1210000.0 1768008.44 7.34

Cash Flow

Recurring Deposit
Date Cumulative Invested Amount Value
01-04-2010 10,000 10,000
01-05-2010 20,000 20,050
01-06-2010 30,000 30,153
01-07-2010 40,000 40,304
01-08-2010 50,000 50,512
01-09-2010 60,000 60,773
01-10-2010 70,000 71,077
01-11-2010 80,000 81,443
01-12-2010 90,000 91,850
01-01-2011 100,000 102,330
01-02-2011 110,000 113,041
01-03-2011 120,000 123,751
01-04-2011 130,000 134,611
01-05-2011 140,000 145,517
01-06-2011 150,000 156,529
01-07-2011 160,000 167,582
01-08-2011 170,000 178,747
01-09-2011 180,000 189,990
01-10-2011 190,000 201,267
01-11-2011 200,000 212,667
01-12-2011 210,000 224,098
01-01-2012 220,000 235,659
01-02-2012 230,000 247,378
01-03-2012 240,000 259,066
01-04-2012 250,000 270,957
01-05-2012 260,000 282,870
01-06-2012 270,000 294,934
01-07-2012 280,000 307,016
01-08-2012 290,000 319,257
01-09-2012 300,000 331,586
01-10-2012 310,000 343,928
01-11-2012 320,000 356,437
01-12-2012 330,000 368,954
01-01-2013 340,000 381,643
01-02-2013 350,000 394,354
01-03-2013 360,000 406,882
01-04-2013 370,000 419,771
01-05-2013 380,000 432,656
01-06-2013 390,000 445,728
01-07-2013 400,000 458,789
01-08-2013 410,000 472,046
01-09-2013 420,000 485,400
01-10-2013 430,000 498,734
01-11-2013 440,000 512,276
01-12-2013 450,000 525,794
01-01-2014 460,000 539,528
01-02-2014 470,000 553,387
01-03-2014 480,000 566,959
01-04-2014 490,000 581,012
01-05-2014 500,000 595,032
01-06-2014 510,000 609,287
01-07-2014 520,000 623,501
01-08-2014 530,000 637,958
01-09-2014 540,000 652,521
01-10-2014 550,000 667,034
01-11-2014 560,000 681,804
01-12-2014 570,000 696,521
01-01-2015 580,000 711,488
01-02-2015 590,000 726,190
01-03-2015 600,000 740,522
01-04-2015 610,000 755,415
01-05-2015 620,000 770,244
01-06-2015 630,000 785,332
01-07-2015 640,000 800,356
01-08-2015 650,000 815,642
01-09-2015 660,000 831,031
01-10-2015 670,000 846,344
01-11-2015 680,000 861,936
01-12-2015 690,000 877,449
01-01-2016 700,000 893,225
01-02-2016 710,000 908,496
01-03-2016 720,000 923,512
01-04-2016 730,000 938,965
01-05-2016 740,000 954,326
01-06-2016 750,000 969,961
01-07-2016 760,000 985,499
01-08-2016 770,000 1,001,318
01-09-2016 780,000 1,017,226
01-10-2016 790,000 1,033,038
01-11-2016 800,000 1,049,135
01-12-2016 810,000 1,065,127
01-01-2017 820,000 1,081,399
01-02-2017 830,000 1,097,285
01-03-2017 840,000 1,112,676
01-04-2017 850,000 1,128,732
01-05-2017 860,000 1,144,678
01-06-2017 870,000 1,160,909
01-07-2017 880,000 1,177,022
01-08-2017 890,000 1,193,429
01-09-2017 900,000 1,209,925
01-10-2017 910,000 1,226,298
01-11-2017 920,000 1,242,974
01-12-2017 930,000 1,259,519
01-01-2018 940,000 1,276,378
01-02-2018 950,000 1,293,344
01-03-2018 960,000 1,309,718
01-04-2018 970,000 1,326,869
01-05-2018 980,000 1,343,877
01-06-2018 990,000 1,361,213
01-07-2018 1,000,000 1,378,404
01-08-2018 1,010,000 1,395,930
01-09-2018 1,020,000 1,413,549
01-10-2018 1,030,000 1,431,017
01-11-2018 1,040,000 1,448,828
01-12-2018 1,050,000 1,466,481
01-01-2019 1,060,000 1,484,493
01-02-2019 1,070,000 1,502,691
01-03-2019 1,080,000 1,520,185
01-04-2019 1,090,000 1,538,579
01-05-2019 1,100,000 1,556,802
01-06-2019 1,110,000 1,575,402
01-07-2019 1,120,000 1,593,823
01-08-2019 1,130,000 1,612,626
01-09-2019 1,140,000 1,631,532
01-10-2019 1,150,000 1,650,243
01-11-2019 1,160,000 1,669,094
01-12-2019 1,170,000 1,687,754
01-01-2020 1,180,000 1,706,794
01-02-2020 1,190,000 1,725,607
01-03-2020 1,200,000 1,743,936
01-04-2020 1,210,000 1,762,911

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