LIC MF Multicap Fund 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
30-11-2023
SIP value as on
08-05-2024
XIRR (%)
as on 08-05-2024
Action
SBI Equity Savings Reg Gr | Invest Online SBIMF 01-05-2015 30-11-2023 20.3772 38940.3365 60 600000.0 793495.02 838,934 11.77

Cash Flow

SBI Equity Savings Reg Gr
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
31-12-2018 12.5032 799.7953 10000.0 10000.00059496
30-01-2019 12.4189 1605.0196 20000.0 19932.577910440003
05-03-2019 12.6266 2396.9984 30000.0 30265.93999744
31-03-2019 12.9394 3169.8318 40000.0 41015.721592919996
30-04-2019 13.0614 3935.4465 50000.0 51402.4409151
30-05-2019 13.2024 4692.8845 60000.0 61957.3383228
01-07-2019 13.1572 5452.9246 70000.0 71745.21954712
30-07-2019 12.8065 6233.7781 80000.0 79832.87923765
30-08-2019 12.9092 7008.4194 90000.0 90473.08771848
30-09-2019 13.274 7761.7718 100000.0 103029.7588732
30-10-2019 13.4791 8503.6611 110000.0 114621.69833301
02-12-2019 13.5693 9240.6188 120000.0 125388.72868284001
30-12-2019 13.7231 9969.3171 130000.0 136809.93549501
30-01-2020 13.7585 10696.1405 140000.0 147162.84906925
02-03-2020 13.3469 11445.3782 150000.0 152760.31829758
30-03-2020 11.6417 12304.3593 160000.0 143243.65966281
30-04-2020 12.658 13094.3735 170000.0 165748.579763
01-06-2020 12.6473 13885.0561 180000.0 175608.47001353
30-06-2020 13.0174 14653.2587 190000.0 190747.32980138002
30-07-2020 13.4698 15395.6602 200000.0 207376.46376195998
31-08-2020 13.7278 16124.109 210000.0 221348.5435302
30-09-2020 13.6822 16854.9856 220000.0 230613.28397632
30-10-2020 13.9814 17570.2216 230000.0 245656.29627824
01-12-2020 14.8037 18245.7284 240000.0 270104.28951508
30-12-2020 15.2843 18899.9945 250000.0 288873.18593635
01-02-2021 15.5394 19543.52 260000.0 303694.574688
02-03-2021 15.8391 20174.869 270000.0 319551.76757789997
30-03-2021 15.7931 20808.0569 280000.0 328623.72342739
30-04-2021 15.8572 21438.6853 290000.0 339957.52053916
31-05-2021 16.3415 22050.6242 300000.0 360340.27536429995
30-06-2021 16.4587 22658.2056 310000.0 372924.60850872
30-07-2021 16.5559 23262.2199 320000.0 385126.98644241004
30-08-2021 16.8973 23854.0304 330000.0 403068.70787792
30-09-2021 17.1184 24438.1971 340000.0 418342.83323664
01-11-2021 17.2696 25017.2493 350000.0 432037.88851128
30-11-2021 17.218 25598.0368 360000.0 440746.99762240006
30-12-2021 17.2777 26176.8175 370000.0 452275.19971975
31-01-2022 17.3267 26753.9614 380000.0 463557.86298937997
02-03-2022 17.0916 27339.0441 390000.0 467268.00613955996
30-03-2022 17.3871 27914.1831 400000.0 485346.69297801
02-05-2022 17.3347 28491.0607 410000.0 493883.9899162901
30-05-2022 17.0243 29078.4564 420000.0 495040.36529052
30-06-2022 16.6355 29679.5805 430000.0 493734.66140775
01-08-2022 17.3409 30256.2518 440000.0 524670.6368386201
30-08-2022 17.4981 30827.7424 450000.0 539426.91928944
30-09-2022 17.5225 31398.4372 460000.0 550179.1158370001
31-10-2022 17.7725 31961.1042 470000.0 568028.7243945
30-11-2022 17.8018 32522.8451 480000.0 578965.1839011799
30-12-2022 17.6525 33089.3371 490000.0 584109.5231577499
30-01-2023 17.5087 33660.4817 500000.0 589351.27594079
02-03-2023 17.5595 34229.974 510000.0 601061.2284530001
31-03-2023 17.5864 34798.5952 520000.0 611982.01462528
02-05-2023 18.0378 35352.9865 530000.0 637690.0998897
30-05-2023 18.3883 35896.8106 540000.0 660081.3223559799
30-06-2023 18.9493 36424.5346 550000.0 690219.43349578
31-07-2023 19.3602 36941.0582 560000.0 715186.2749636399
30-08-2023 19.7596 37447.1413 570000.0 739940.53323148
03-10-2023 20.0398 37946.1483 580000.0 760433.22270234
30-10-2023 19.8632 38449.5919 590000.0 763731.93382808
30-11-2023 20.3772 38940.3365 600000.0 793495.0249277999

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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