AMFI India Fixed Income MF Mehnat Ki Kamayi 728x90

Mutual Fund SIP Calculator - Hybrid: Equity Savings

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
05-05-2023
SIP value as on
26-04-2024
XIRR (%)
as on 26-04-2024
Action
Sundaram Equity Savings Fund Gr SundaramMF 05-01-2013 05-05-2023 52.6268 13715.6713 60 600000.0 721811.89 867,753 10.94

Cash Flow

Sundaram Equity Savings Fund Gr
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
01-06-2018 38.0819 262.5919 10000.0 9999.99847661
01-07-2018 38.0221 525.5968 20000.0 19984.294089280003
01-08-2018 38.4944 785.3748 30000.0 30232.531701120002
01-09-2018 38.9648 1042.0167 40000.0 40601.97231216
01-10-2018 38.275 1303.2838 50000.0 49883.187444999996
01-11-2018 37.9807 1566.5754 60000.0 59499.63029478
01-12-2018 38.3459 1827.3595 70000.0 70071.74465105
01-01-2019 38.3615 2088.0375 80000.0 80100.25055625
01-02-2019 38.3288 2348.9379 90000.0 90031.97098152
01-03-2019 38.3256 2609.8601 100000.0 100024.45424856
01-04-2019 39.2505 2864.6339 110000.0 112438.31289195
01-05-2019 39.4097 3118.3785 120000.0 122894.36117145
01-06-2019 39.8817 3369.1201 130000.0 134366.23709217002
01-07-2019 39.9427 3619.4787 140000.0 144571.75187049
01-08-2019 39.1613 3874.8328 150000.0 151743.48973064
01-09-2019 39.37 4128.8333 160000.0 162552.167021
01-10-2019 39.7911 4380.1458 170000.0 174290.81954238002
01-11-2019 40.5199 4626.9381 180000.0 187483.06911819
01-12-2019 40.7732 4872.1972 190000.0 198655.07087504
01-01-2020 40.8918 5116.745 200000.0 209232.913191
01-02-2020 40.9912 5360.6998 210000.0 219741.51764176
01-03-2020 40.1787 5609.5879 220000.0 225385.94935773002
01-04-2020 36.128 5886.3815 230000.0 212663.19083200002
01-05-2020 38.6306 6145.2436 240000.0 237394.44741416
01-06-2020 38.7566 6403.2642 250000.0 248168.74929371997
01-07-2020 39.6887 6655.2251 260000.0 264137.23242636997
01-08-2020 40.8623 6899.9495 270000.0 281947.80645384995
01-09-2020 41.3684 7141.6799 280000.0 295439.87077516003
01-10-2020 41.3936 7383.2631 290000.0 305619.83945615997
01-11-2020 41.7701 7622.6688 300000.0 318399.63804288
01-12-2020 43.6634 7851.6936 310000.0 342831.63833424
01-01-2021 44.7591 8075.1119 320000.0 361434.74104328995
01-02-2021 45.2295 8296.2065 330000.0 375233.27189175005
01-03-2021 45.9694 8513.7425 340000.0 391371.6344795
01-04-2021 45.9961 8731.1522 350000.0 401598.94970642
01-05-2021 45.7271 8949.8409 360000.0 409250.26981838996
01-06-2021 46.959 9162.7926 370000.0 430275.57770340005
01-07-2021 47.5802 9372.9641 380000.0 445967.50647081994
01-08-2021 48.0202 9581.2098 390000.0 460091.61083796003
01-09-2021 49.2369 9784.3095 400000.0 481749.06842055
01-10-2021 49.7696 9985.2354 410000.0 496961.17176383996
01-11-2021 50.6792 10182.555 420000.0 516043.741356
01-12-2021 49.9379 10382.8037 430000.0 518495.41289023
01-01-2022 50.0869 10582.4567 440000.0 530042.4504872301
01-02-2022 50.7129 10779.6452 450000.0 546667.06906308
01-03-2022 49.6727 10980.963 460000.0 545454.0808101
01-04-2022 50.5437 11178.8116 470000.0 565018.49986692
02-05-2022 50.0374 11378.6621 480000.0 569358.66696254
01-06-2022 49.5074 11580.6521 490000.0 573327.9757755399
01-07-2022 48.7723 11785.6865 500000.0 574815.03768395
01-08-2022 50.7069 11982.8983 510000.0 607615.62580827
01-09-2022 51.6268 12176.5961 520000.0 628638.6915354801
03-10-2022 50.7722 12373.5543 530000.0 628232.57363046
01-11-2022 52.4696 12564.1408 540000.0 659235.44211968
01-12-2022 52.8812 12753.2439 550000.0 674406.84132468
02-01-2023 52.434 12943.9598 560000.0 678703.5881532
01-02-2023 51.6401 13137.6078 570000.0 678427.38055278
01-03-2023 51.7179 13330.9645 580000.0 689449.48891455
03-04-2023 51.4062 13525.4936 590000.0 695294.22910032
02-05-2023 52.5824 13715.6713 600000.0 721202.91456512

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