Axis MF Index Fund 728x90

Mutual Fund SIP Calculator - Equity: ELSS

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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
14-10-2022
SIP value as on
30-04-2024
XIRR (%)
as on 30-04-2024
Action
Nippon India Tax Saver (ELSS) Gr Gr NipponIndiaMF 05-09-2005 14-10-2022 77.2622 27316.5183 120 1200000.0 2110534.3 3,148,606 14.55

Cash Flow

Nippon India Tax Saver (ELSS) Gr Gr
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
01-11-2012 23.2612 429.9004 10000.0 9999.999184479999
03-12-2012 24.0858 845.0828 20000.0 20354.49530424
01-01-2013 24.7962 1248.3704 30000.0 30954.84211248
01-02-2013 24.1264 1662.8541 40000.0 40118.68315824
01-03-2013 22.4171 2108.9421 50000.0 47276.36594991001
01-04-2013 21.5752 2572.4372 60000.0 55500.84707743999
02-05-2013 23.1338 3004.7051 70000.0 69510.24684238
03-06-2013 22.9452 3440.5261 80000.0 78943.55946972
01-07-2013 22.3014 3888.9284 90000.0 86728.54781976
01-08-2013 19.9255 4390.7979 100000.0 87488.84355645
02-09-2013 19.7137 4898.0593 110000.0 96558.87162240999
01-10-2013 20.7897 5379.0667 120000.0 111829.18297299
01-11-2013 22.8855 5816.0246 130000.0 133102.63098329998
02-12-2013 23.8018 6236.1609 140000.0 148431.85450962
01-01-2014 25.5725 6627.206 150000.0 169474.225435
03-02-2014 23.753 7048.2055 160000.0 167416.0252415
03-03-2014 24.7968 7451.4833 170000.0 184772.94109344
01-04-2014 28.42 7803.3482 180000.0 221771.15584400002
02-05-2014 28.973 8148.4971 190000.0 236086.4064783
02-06-2014 35.0822 8433.5419 200000.0 295867.20364418003
01-07-2014 38.7791 8691.4128 210000.0 337045.16611248
01-08-2014 37.4357 8958.5375 220000.0 335369.12228874996
01-09-2014 40.2704 9206.8588 230000.0 370763.88661952
01-10-2014 41.8643 9445.7258 240000.0 395438.69860894
03-11-2014 44.4515 9670.6901 250000.0 429876.68098015
01-12-2014 46.2203 9887.0453 260000.0 456982.19987959
01-01-2015 46.9751 10099.924 270000.0 474444.9398924
02-02-2015 49.0652 10303.7344 280000.0 505554.78908287996
02-03-2015 50.3993 10502.1499 290000.0 529301.00345507
01-04-2015 48.9306 10706.521 300000.0 523876.49644260004
04-05-2015 47.7876 10915.7803 310000.0 521638.94266428
01-06-2015 47.1756 11127.7543 320000.0 524958.48575508
01-07-2015 46.4187 11343.1847 330000.0 526535.88763389
03-08-2015 47.4857 11553.7744 340000.0 548639.06502608
01-09-2015 42.6893 11788.0251 350000.0 503222.5399014301
01-10-2015 42.4761 12023.4516 360000.0 510709.33250676
02-11-2015 44.5163 12248.0884 370000.0 545239.5776409201
01-12-2015 45.2571 12469.0482 380000.0 564312.9612922199
01-01-2016 45.6079 12688.3085 390000.0 578687.10523715
01-02-2016 41.664 12928.3239 400000.0 538645.6869696
01-03-2016 38.9337 13185.1708 410000.0 513347.48437596
01-04-2016 42.9696 13417.8935 420000.0 576561.5165376
02-05-2016 43.6683 13646.8926 430000.0 595936.60012458
01-06-2016 44.0354 13873.9826 440000.0 610946.37338404
01-07-2016 46.7814 14087.7428 450000.0 659044.33102392
01-08-2016 48.055 14295.8377 460000.0 686986.4806735
01-09-2016 49.8804 14496.3172 470000.0 723082.10046288
03-10-2016 50.7141 14693.501 480000.0 745167.6790641
01-11-2016 51.1806 14888.8875 490000.0 762022.1955825
01-12-2016 48.0438 15097.0309 500000.0 725318.7331534199
02-01-2017 47.5296 15307.4261 510000.0 727555.8395625601
01-02-2017 51.203 15502.7272 520000.0 793786.1408216
01-03-2017 53.223 15690.6159 530000.0 835101.6500457
03-04-2017 55.3443 15871.303 540000.0 878386.1546229
02-05-2017 56.1386 16049.4336 550000.0 900992.73309696
01-06-2017 57.1648 16224.3664 560000.0 927462.6603827201
03-07-2017 58.3785 16395.6623 570000.0 957154.17158055
01-08-2017 61.1296 16559.2492 580000.0 1012260.27989632
01-09-2017 60.8253 16723.6545 590000.0 1017221.3020588501
03-10-2017 60.2494 16889.6313 600000.0 1017590.15204622
01-11-2017 66.0456 17041.0418 610000.0 1125485.83030608
01-12-2017 65.1718 17194.4824 620000.0 1120595.36807632
01-01-2018 68.7942 17339.8435 630000.0 1192880.6617077
01-02-2018 67.5025 17487.9862 640000.0 1180482.7884654999
01-03-2018 63.052 17646.5855 650000.0 1112652.5089460001
02-04-2018 59.2065 17815.4859 660000.0 1054792.56593835
02-05-2018 60.0731 17981.9498 670000.0 1080231.46853038
01-06-2018 56.6996 18158.3179 680000.0 1029569.3616028398
02-07-2018 54.0829 18343.2192 690000.0 992054.48967168
01-08-2018 56.9508 18518.8094 700000.0 1054661.01037752
03-09-2018 59.0882 18688.0479 710000.0 1104243.11192478
01-10-2018 54.1947 18872.5678 720000.0 1022793.15015066
01-11-2018 52.6399 19062.5378 730000.0 1003450.0835382198
03-12-2018 53.7565 19248.5618 740000.0 1034735.3124017001
01-01-2019 54.9629 19430.5027 750000.0 1067956.77684983
01-02-2019 52.239 19621.9306 760000.0 1025030.0326133999
01-03-2019 51.8071 19814.9543 770000.0 1026555.31891553
01-04-2019 56.3874 19992.2989 780000.0 1127313.7549938601
02-05-2019 55.7742 20171.5933 790000.0 1125054.4790328601
03-06-2019 57.4821 20345.5605 800000.0 1169505.5432170501
01-07-2019 56.209 20523.468 810000.0 1153603.612812
01-08-2019 49.2055 20726.6973 820000.0 1019867.50399515
03-09-2019 46.3628 20942.3875 830000.0 970947.723185
01-10-2019 49.7718 21143.3045 840000.0 1052340.3229131
01-11-2019 54.7937 21325.8072 850000.0 1168519.88197464
02-12-2019 54.5356 21509.1737 860000.0 1173015.69323372
01-01-2020 55.6257 21688.9467 870000.0 1206462.84245019
03-02-2020 52.8221 21878.2614 880000.0 1155655.7114969399
02-03-2020 48.4823 22084.5222 890000.0 1070708.4306570601
01-04-2020 35.2196 22368.455 900000.0 787808.037718
04-05-2020 38.5072 22628.1467 910000.0 871346.57060624
01-06-2020 39.3645 22882.1827 920000.0 900745.68089415
01-07-2020 41.7465 23121.7237 930000.0 965251.0384420499
03-08-2020 42.943 23354.5905 940000.0 1002916.1798414999
01-09-2020 45.9266 23572.3292 950000.0 1082596.93423672
01-10-2020 45.0248 23794.429 960000.0 1071339.4068392
02-11-2020 46.1413 24011.1546 970000.0 1107905.8877449802
01-12-2020 51.9269 24203.733 980000.0 1256824.8231177002
01-01-2021 55.6422 24383.4527 990000.0 1356748.9518239403
01-02-2021 57.6133 24557.0237 1000000.0 1414811.17353521
01-03-2021 62.6026 24716.7615 1010000.0 1547333.5334799
01-04-2021 63.3249 24874.6773 1020000.0 1575186.45255477
03-05-2021 62.8865 25033.6939 1030000.0 1574281.3914423499
01-06-2021 66.4018 25184.2922 1040000.0 1672282.33380596
01-07-2021 67.8985 25331.5709 1050000.0 1719975.66675365
02-08-2021 70.6254 25473.163 1060000.0 1799052.3261402
01-09-2021 74.7265 25606.9843 1070000.0 1913520.31229395
01-10-2021 76.578 25737.5701 1080000.0 1970931.6431178001
01-11-2021 79.0924 25864.0045 1090000.0 2045646.1895158
01-12-2021 75.5785 25996.3173 1100000.0 1964762.66705805
03-01-2022 77.3649 26125.5749 1110000.0 2021202.48958101
01-02-2022 78.3767 26253.1638 1120000.0 2057636.3432034599
02-03-2022 73.1242 26389.9174 1130000.0 1929741.5979410799
01-04-2022 78.2783 26517.6667 1140000.0 2075757.8692426102
02-05-2022 75.4939 26650.1277 1150000.0 2011922.07557103
01-06-2022 72.9488 26787.2101 1160000.0 1954094.8321428802
01-07-2022 69.8851 26930.3021 1170000.0 1882026.85528871
01-08-2022 77.6772 27059.04 1180000.0 2101870.461888
01-09-2022 78.8726 27185.8267 1190000.0 2144216.8349784203
03-10-2022 76.516 27316.5183 1200000.0 2090150.7142428001

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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