Bandhan MF Small Cap Fund 728x90

Mutual Fund SIP Calculator of All Categories

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To see SIP Returns with Yearly Enhancements scroll down to bottom of the Cash Flow table.

Summary

Fund Name AMC Name Launch Date Nav Date Nav Units No of
Installments
Investment
Amount
SIP value as on
18-05-2023
SIP value as on
02-05-2024
XIRR (%)
as on 02-05-2024
Action
Nippon India Nivesh Lakshya Gr NipponIndiaMF 05-07-2018 18-05-2023 15.3044 46060.3259 59 590000.0 704925.65 737,463 6.66

Cash Flow

Nippon India Nivesh Lakshya Gr
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
09-07-2018 9.959 1004.1169 10000.0 10000.0002071
09-08-2018 10.0528 1998.8646 20000.0 20094.186050880002
10-09-2018 9.8292 3016.2414 30000.0 29647.23996888
09-10-2018 9.8831 4028.0697 40000.0 39809.81565207
09-11-2018 10.2539 5003.3084 50000.0 51303.424002759995
10-12-2018 10.6795 5939.6818 60000.0 63432.83178310001
09-01-2019 10.9108 6856.2049 70000.0 74806.68042291999
11-02-2019 10.9122 7772.6104 80000.0 84816.27920688
11-03-2019 10.8937 8690.5722 90000.0 94672.48637514001
09-04-2019 10.986 9600.8216 100000.0 105474.6260976
09-05-2019 11.1014 10501.6089 110000.0 116582.56104245999
10-06-2019 11.6217 11362.0682 120000.0 132046.54799994
09-07-2019 12.2748 12176.7454 130000.0 149467.11443592
09-08-2019 12.2691 12991.8011 140000.0 159397.70687601
09-09-2019 12.1303 13816.183 150000.0 167594.4446449
09-10-2019 12.109 14642.015 160000.0 177300.159635
11-11-2019 12.102 15468.3247 170000.0 187197.6655194
09-12-2019 12.0904 16295.4272 180000.0 197018.23301888
09-01-2020 12.3417 17105.6883 190000.0 211113.27329211
10-02-2020 12.6446 17896.5397 200000.0 226294.58589062002
09-03-2020 13.1861 18654.914 210000.0 245985.5614954
09-04-2020 12.68 19443.5575 220000.0 246544.30909999998
11-05-2020 13.0054 20212.4689 230000.0 262871.24303206
09-06-2020 13.3277 20962.7859 240000.0 279385.72163943
09-07-2020 13.6541 21695.1667 250000.0 296227.97563847003
10-08-2020 13.7319 22423.398 260000.0 307915.8589962
09-09-2020 13.521 23162.9883 270000.0 313186.76480430004
09-10-2020 13.4755 23905.0758 280000.0 322132.84894289996
09-11-2020 13.6639 24636.9313 290000.0 336636.56559007
09-12-2020 13.8197 25360.536 300000.0 350474.99935919995
11-01-2021 14.0086 26074.3832 310000.0 365265.60449552
09-02-2021 13.7165 26803.4322 320000.0 367649.2777713
09-03-2021 13.6135 27537.9972 330000.0 374888.5248822
09-04-2021 13.8631 28259.3366 340000.0 391762.00921945996
10-05-2021 13.8589 28980.8946 350000.0 401643.32017194
09-06-2021 13.8379 29703.5476 360000.0 411034.72133404
09-07-2021 13.5516 30441.4678 370000.0 412530.59503848
09-08-2021 13.602 31176.6538 380000.0 424064.8449876
09-09-2021 13.9423 31893.8956 390000.0 444674.26062387996
11-10-2021 13.8754 32614.5955 400000.0 452540.55840070004
09-11-2021 14.0864 33324.5001 410000.0 469422.23820863996
09-12-2021 14.1837 34029.5348 420000.0 482664.71274276
10-01-2022 13.9618 34745.7748 430000.0 485113.55860264
09-02-2022 13.8787 35466.3034 440000.0 492226.18499757996
09-03-2022 13.9418 36183.5709 450000.0 504464.10877362
11-04-2022 13.801 36908.1561 460000.0 509369.4623361
09-05-2022 13.4701 37650.5411 470000.0 507156.5536711101
09-06-2022 13.4568 38393.6598 480000.0 516655.80119664
11-07-2022 13.6805 39124.6272 490000.0 535244.4624096
10-08-2022 13.8181 39848.3157 500000.0 550628.01117417
09-09-2022 14.2701 40549.0816 510000.0 578639.4493401599
10-10-2022 13.9911 41263.8217 520000.0 577326.25578687
09-11-2022 14.1699 41969.543 530000.0 594704.2273557
09-12-2022 14.4265 42662.7118 540000.0 615473.6117826999
09-01-2023 14.4939 43352.6572 550000.0 628349.07819108
09-02-2023 14.5757 44038.7306 560000.0 641895.32560642
09-03-2023 14.5425 44726.3703 570000.0 650433.24008775
10-04-2023 14.8352 45400.4428 580000.0 673524.64902656
09-05-2023 15.1542 46060.3259 590000.0 698007.39075378

Mutual Fund SIP Calculator helps you get returns of any 5 mutual fund schemes of your choice in a category that you select. You can input the SIP amount, select the SIP frequency like monthly, fortnightly and quarterly. You can also select the SIP start and end date and get the results which shows the AMC name, scheme inception date, NAV date, number of SIP instalments, invested value, SIP value as on the selected date and the SIP returns in XIRR (%). Over and above the returns, you can also see the cash flow for the period chosen for each scheme with details like, NAV date, NAV, cumulative units, cumulative investment amount and market value. The results can be downloaded in excel.

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