Edelweiss MF Nifty Low Volatility Index Fund NFO 728x90

Mutual Fund SIP Calculator - Hybrid: Equity Savings

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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
24-03-2022
SIP value as on
03-05-2024
XIRR (%)
as on 03-05-2024
Action
SBI Equity Savings Reg Gr | Invest Online SBIMF 01-05-2015 24-03-2022 17.2541 24861.5296 36 360000.0 428963.32 536,910 11.71

Cash Flow

SBI Equity Savings Reg Gr
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
24-04-2019 13.0313 767.3831 10000.0 9999.99939103
24-05-2019 13.1094 1530.1945 20000.0 20059.9317783
24-06-2019 13.0395 2297.0951 30000.0 29952.97155645
24-07-2019 12.8727 3073.9329 40000.0 39569.816041829996
26-08-2019 12.8968 3849.319 50000.0 49643.8972792
24-09-2019 13.2945 4601.5098 60000.0 61174.772036099996
24-10-2019 13.3469 5350.7475 70000.0 71415.89180775
25-11-2019 13.5806 6087.092 80000.0 82666.3616152
24-12-2019 13.6811 6818.0274 90000.0 93278.11466214001
24-01-2020 13.8646 7539.2887 100000.0 104529.22211002
24-02-2020 13.7464 8266.7519 110000.0 113638.07831815998
24-03-2020 11.2766 9153.544 120000.0 103220.8542704
24-04-2020 12.2084 9972.6522 130000.0 121750.12711848
26-05-2020 12.2161 10791.2441 140000.0 131826.91705001
24-06-2020 13.0165 11559.4998 150000.0 150464.2291467
24-07-2020 13.5394 12298.085 160000.0 166508.692049
24-08-2020 13.7532 13025.1885 170000.0 179138.0224782
24-09-2020 13.457 13768.2962 180000.0 185279.9619634
26-10-2020 13.9895 14483.118 190000.0 202611.579261
24-11-2020 14.7347 15161.7881 200000.0 223404.39911707
24-12-2020 15.1483 15821.9282 210000.0 239675.31495206003
25-01-2021 15.5053 16466.869 220000.0 255323.7439057
24-02-2021 15.887 17096.3145 230000.0 271609.1484615
24-03-2021 15.6757 17734.2445 240000.0 277996.69650865
26-04-2021 15.7562 18368.9153 250000.0 289424.30324986
24-05-2021 16.1472 18988.2177 260000.0 306606.54884544003
24-06-2021 16.5035 19594.1498 270000.0 323372.05122429994
26-07-2021 16.6015 20196.505 280000.0 335292.27775750007
24-08-2021 16.7791 20792.4845 290000.0 348879.17667395
24-09-2021 17.2102 21373.5353 300000.0 367842.81722006
25-10-2021 17.2454 21953.4001 310000.0 378595.16608453996
24-11-2021 17.3257 22530.5774 320000.0 390358.02485918
24-12-2021 17.201 23111.9389 330000.0 397548.46101890004
24-01-2022 17.2783 23690.6995 340000.0 409335.01317085
24-02-2022 16.9131 24281.9572 350000.0 410683.17031932
24-03-2022 17.2541 24861.5296 360000.0 428963.31787136005

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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