BOI MF Multi Cap Fund 728x90

Mutual Fund SIP Calculator - Equity: Small Cap

Submit
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
15-06-2023
SIP value as on
16-05-2024
XIRR (%)
as on 16-05-2024
Action
Nippon India Small Cap Gr Gr NipponIndiaMF 05-09-2010 15-06-2023 106.2983 11710.5407 60 600000.0 1244810.57 1,827,299 34.88

Cash Flow

Nippon India Small Cap Gr Gr
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
02-07-2018 40.8849 244.5891 10000.0 10000.00089459
01-08-2018 42.3422 480.7601 20000.0 20356.44030622
03-09-2018 45.0979 702.4999 30000.0 31681.270240210004
01-10-2018 39.4482 955.9969 40000.0 37712.35691058
01-11-2018 39.3307 1210.2512 50000.0 47600.02687184
03-12-2018 39.5087 1463.36 60000.0 57815.45123199999
01-01-2019 39.824 1714.4649 70000.0 68276.85017759999
01-02-2019 37.9346 1978.0765 80000.0 75037.54079690001
01-03-2019 37.7104 2243.2553 90000.0 84594.05466512
01-04-2019 40.6509 2489.2523 100000.0 101190.34632207
02-05-2019 39.6576 2741.4108 110000.0 108717.77294208002
03-06-2019 41.1975 2984.144 120000.0 122939.27243999999
01-07-2019 39.6762 3236.1843 130000.0 128399.49552366
01-08-2019 35.3646 3518.9529 140000.0 124446.36172734002
03-09-2019 34.5494 3808.3935 150000.0 131577.71038889998
01-10-2019 36.9632 4078.9328 160000.0 150770.40887296
01-11-2019 38.535 4338.4371 170000.0 167181.6736485
02-12-2019 38.2073 4600.1672 180000.0 175759.96826055998
01-01-2020 38.9932 4856.6222 190000.0 189375.24076904
03-02-2020 40.375 5104.3002 200000.0 206086.12057499998
02-03-2020 38.7436 5362.4073 210000.0 207758.96346828
01-04-2020 26.7882 5735.706 220000.0 153649.2394692
04-05-2020 30.3838 6064.8288 230000.0 184272.54529344002
01-06-2020 31.3339 6383.972 240000.0 200034.74025079998
01-07-2020 34.5393 6673.4973 250000.0 230497.92529388997
03-08-2020 36.5244 6947.2869 260000.0 253745.48565036
01-09-2020 40.7661 7192.5888 270000.0 293213.79427968
01-10-2020 42.2343 7429.3632 280000.0 313773.95419776
02-11-2020 41.0704 7672.8476 290000.0 315126.92007104
01-12-2020 47.2255 7884.5976 300000.0 372354.0639588
01-01-2021 50.5727 8082.3327 310000.0 408745.38693728996
01-02-2021 51.2269 8277.5426 320000.0 424032.84701594006
01-03-2021 58.1094 8449.6318 330000.0 491003.03411892
01-04-2021 60.1195 8615.9672 340000.0 517987.6400804
03-05-2021 63.3358 8773.8558 350000.0 555699.17617764
01-06-2021 66.9137 8923.302 360000.0 597091.1530374
01-07-2021 72.3245 9061.5677 370000.0 655373.35311865
02-08-2021 77.8106 9190.0849 380000.0 715086.0201199399
01-09-2021 77.6672 9318.8394 390000.0 723768.16344768
01-10-2021 81.2325 9441.9428 400000.0 766992.6185010001
01-11-2021 81.5639 9564.5461 410000.0 780121.68164579
01-12-2021 82.1817 9686.2277 420000.0 796030.65897309
03-01-2022 88.649 9799.0321 430000.0 868674.3966329
01-02-2022 87.1037 9913.8378 440000.0 863531.9535798599
02-03-2022 79.9146 10038.9714 450000.0 802260.38384244
01-04-2022 86.3531 10154.775 460000.0 876896.3010524999
02-05-2022 85.742 10271.404 470000.0 880690.721768
01-06-2022 81.3105 10394.3893 480000.0 845172.99117765
01-07-2022 77.9573 10522.6647 490000.0 820318.52881731
01-08-2022 86.1977 10638.6771 500000.0 917029.4970626701
01-09-2022 90.1743 10749.5734 510000.0 969335.25664362
03-10-2022 89.963 10860.7302 520000.0 977063.8709825999
01-11-2022 92.4542 10968.8919 530000.0 1014120.1255009801
01-12-2022 95.2589 11073.869 540000.0 1054884.5796841
02-01-2023 93.5746 11180.7356 550000.0 1046232.86147576
01-02-2023 90.6672 11291.0291 560000.0 1023725.99361552
01-03-2023 91.7398 11400.033 570000.0 1045836.7474134
03-04-2023 91.3427 11509.5108 580000.0 1051309.7921511598
02-05-2023 96.4071 11613.2376 590000.0 1119598.55862696
01-06-2023 102.7717 11710.5407 600000.0 1203512.17565819

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.

Advisorkhoj develops innovative mutual fund research tools and Calculators that may help you in your investments. Mutual Fund Distributors who wish to display MF Research and calculators on their website may write to sales@advisorkhoj.com for APIs.

comments powered by Disqus
Feedback
Notification