Kotak Credit Card Solitaire 728x90

SWP with Multiple Schemes

(Preferably Equity or Balanced or Aggressive or Dynamic Asset Allocation funds)
(Preferably Liquid or Arbitrage funds)
Submit

Systematic Withdrawal Plan - HSBC Value Fund Reg Gr

Scheme AMC Name Withdrawal Period No of Monthly Installments Total Withdrawal Amount Current Value as on 01-10-2025 Return (%) as on 01-10-2025
HSBC Value Fund Reg Gr HSBCMF 01-11-2021 to 01-11-2025 48 240000.0 165341.07 18.01

Systematic Withdrawal Plan - ICICI Pru Liquid Gr

Scheme AMC Name Withdrawal Period No of Monthly Installments Total Withdrawal Amount Current Value as on 01-10-2025 Return (%) as on 01-10-2025
ICICI Pru Liquid Gr ICICIMF 01-11-2021 to 01-11-2025 1 5000.0 58697.59752489271 0

Cash Flows

Nav Date Scheme Nav Units Cumulative Units - Scheme 1 Cumulative Units - Scheme 2 Cash Flow Capital Gain/Loss No. of Days
(Invested)
Value - Scheme 1 Value - Scheme 2 Total Value (Scheme 1 + Scheme 2)
01-11-2018 HSBC Value Fund Reg Gr 33.954 4712.257760499499 4712.257760499499 0.0 160000.0 0 0 160000.0 0.0 160000.0
01-11-2018 ICICI Pru Liquid Gr 267.2369 149.67992818357047 4712.257760499499 149.67992818357047 40000.0 0 0 160000.0 40000.0 200000.0
01-11-2021 HSBC Value Fund Reg Gr 59.249 84.38960995122281 4627.868150548276 149.67992818357047 -5000.0 2,134.64 1,096 274196.56 46202.69131994871 320399.2513199487
01-12-2021 HSBC Value Fund Reg Gr 56.057 89.19492659257541 4538.673223955701 149.67992818357047 -5000.0 1,971.48 1,126 254424.4 46338.675534703485 300763.0755347035
03-01-2022 HSBC Value Fund Reg Gr 59.045 84.6811753747142 4453.992048580987 149.67992818357047 -5000.0 2,124.74 1,159 262985.96 46481.754578054155 309467.71457805415
01-02-2022 HSBC Value Fund Reg Gr 59.413 84.15666604951778 4369.835382531469 149.67992818357047 -5000.0 2,142.54 1,188 259625.03 46601.12432078055 306226.15432078054
02-03-2022 HSBC Value Fund Reg Gr 54.881 91.10621162150835 4278.729170909961 149.67992818357047 -5000.0 1,906.58 1,217 234820.94 46731.4656022428 281552.4056022428
01-04-2022 HSBC Value Fund Reg Gr 58.336 85.71036752605595 4193.018803383905 149.67992818357047 -5000.0 2,089.79 1,247 244603.94 46875.93666892559 291479.8766689256
02-05-2022 HSBC Value Fund Reg Gr 56.506 88.48617845892471 4104.53262492498 149.67992818357047 -5000.0 1,995.54 1,278 231930.72 47015.9472737485 278946.6672737485
01-06-2022 HSBC Value Fund Reg Gr 53.59 93.30098899048329 4011.231635934497 149.67992818357047 -5000.0 1,832.06 1,308 214961.9 47149.23724979597 262111.13724979595
01-07-2022 HSBC Value Fund Reg Gr 50.61 98.79470460383324 3912.4369313306634 149.67992818357047 -5000.0 1,645.52 1,338 198008.43 47332.35567393575 245340.78567393575
01-08-2022 HSBC Value Fund Reg Gr 56.529 88.45017601585026 3823.9867553148133 149.67992818357047 -5000.0 1,996.76 1,369 216166.15 47513.662970944504 263679.8129709445
01-09-2022 HSBC Value Fund Reg Gr 57.934 86.30510581005973 3737.6816495047538 149.67992818357047 -5000.0 2,069.6 1,400 216538.85 47729.75588326313 264268.60588326317
03-10-2022 HSBC Value Fund Reg Gr 56.362 88.71225293637556 3648.969396568378 149.67992818357047 -5000.0 1,987.86 1,432 205663.21 47955.95219073414 253619.16219073412
01-11-2022 HSBC Value Fund Reg Gr 60.392 82.79242283746191 3566.1769737309164 149.67992818357047 -5000.0 2,188.87 1,461 215368.56 48165.878290011606 263534.4382900116
01-12-2022 HSBC Value Fund Reg Gr 62.088 80.53085942533178 3485.6461143055844 149.67992818357047 -5000.0 2,265.66 1,491 216416.8 48415.52944222897 264832.32944222895
02-01-2023 HSBC Value Fund Reg Gr 61.6626 81.08642840230546 3404.559685903279 149.67992818357047 -5000.0 2,246.79 1,523 209934.0 48701.433073052416 258635.4330730524
01-02-2023 HSBC Value Fund Reg Gr 60.3704 82.82204524071399 3321.737640662565 149.67992818357047 -5000.0 2,187.86 1,553 200534.63 48945.96517172592 249480.59517172593
01-03-2023 HSBC Value Fund Reg Gr 60.3779 82.81175728205189 3238.925883380513 149.67992818357047 -5000.0 2,188.21 1,581 195559.54 49179.36108374255 244738.90108374256
03-04-2023 HSBC Value Fund Reg Gr 60.6717 82.41074504258162 3156.515138337931 149.67992818357047 -5000.0 2,201.83 1,614 191511.14 49525.66056558806 241036.80056558808
02-05-2023 HSBC Value Fund Reg Gr 62.7463 79.68597351556984 3076.8291648223612 149.67992818357047 -5000.0 2,294.34 1,643 193059.65 49789.7857668608 242849.43576686078
01-06-2023 HSBC Value Fund Reg Gr 63.9589 78.17520313826536 2998.653961684096 149.67992818357047 -5000.0 2,345.64 1,673 191790.61 50076.40786133951 241867.0178613395
03-07-2023 HSBC Value Fund Reg Gr 67.3391 74.25106661657195 2924.4028950675242 149.67992818357047 -5000.0 2,478.88 1,705 196926.66 50368.41843323284 247295.07843323285
01-08-2023 HSBC Value Fund Reg Gr 71.2461 70.17927998865903 2854.2236150788654 149.67992818357047 -5000.0 2,617.13 1,734 203352.3 50632.453826548655 253984.75382654864
01-09-2023 HSBC Value Fund Reg Gr 73.4055 68.11478703911831 2786.108828039747 149.67992818357047 -5000.0 2,687.23 1,765 204515.71 50913.89699551222 255429.6069955122
03-10-2023 HSBC Value Fund Reg Gr 75.3926 66.31950615842933 2719.789321881318 149.67992818357047 -5000.0 2,748.19 1,797 205051.99 51215.71160270158 256267.70160270156
01-11-2023 HSBC Value Fund Reg Gr 73.4128 68.10801386134298 2651.681308019975 149.67992818357047 -5000.0 2,687.46 1,826 194667.35 51482.68072260979 246150.03072260978
01-12-2023 HSBC Value Fund Reg Gr 81.2163 61.56399638988725 2590.117311630088 149.67992818357047 -5000.0 2,909.66 1,856 210359.74 51771.72763192509 262131.46763192507
01-01-2024 HSBC Value Fund Reg Gr 85.5412 58.45136612532908 2531.665945504759 149.67992818357047 -5000.0 3,015.34 1,887 216561.74 52092.47675002966 268654.21675002965
01-02-2024 HSBC Value Fund Reg Gr 89.3234 55.97637349227637 2475.6895720124826 149.67992818357047 -5000.0 3,099.38 1,918 221137.01 52404.873728141596 273541.8837281416
01-03-2024 HSBC Value Fund Reg Gr 93.2263 53.63293405401695 2422.0566379584657 149.67992818357047 -5000.0 3,178.95 1,947 225799.38 52711.493061025634 278510.87306102563
01-04-2024 HSBC Value Fund Reg Gr 93.054 53.73224149418617 2368.3243964642793 149.67992818357047 -5000.0 3,175.58 1,978 220382.06 53053.46679294664 273435.5267929466
02-05-2024 HSBC Value Fund Reg Gr 97.3548 51.358535994116366 2316.965860470163 149.67992818357047 -5000.0 3,256.17 2,009 225567.75 53395.245940960995 278962.995940961
03-06-2024 HSBC Value Fund Reg Gr 103.0851 48.503614974424046 2268.462245495739 149.67992818357047 -5000.0 3,353.11 2,041 233844.66 53724.137647158765 287568.7976471588
01-07-2024 HSBC Value Fund Reg Gr 107.7809 46.39040869022248 2222.0718368055163 149.67992818357047 -5000.0 3,424.86 2,069 239496.9 54015.02561959071 293511.9256195907
01-08-2024 HSBC Value Fund Reg Gr 109.8775 45.50522172419285 2176.5666150813236 149.67992818357047 -5000.0 3,454.92 2,100 239155.7 54335.580153788644 293491.2801537886
02-09-2024 HSBC Value Fund Reg Gr 110.8093 45.12256642718617 2131.4440486541375 149.67992818357047 -5000.0 3,467.91 2,132 236183.82 54659.51745436353 290843.33745436353
01-10-2024 HSBC Value Fund Reg Gr 113.177 44.178587522199734 2087.2654611319376 149.67992818357047 -5000.0 3,499.96 2,161 236230.44 54970.417633193625 291200.8576331936
04-11-2024 HSBC Value Fund Reg Gr 107.4525 46.53218864149275 2040.733272490445 149.67992818357047 -5000.0 3,420.05 2,195 219281.89 55321.10273693491 274602.9927369349
02-12-2024 HSBC Value Fund Reg Gr 109.051 45.85010683074891 1994.883165659696 149.67992818357047 -5000.0 3,443.21 2,223 217544.0 55609.68563847284 273153.68563847285
01-01-2025 HSBC Value Fund Reg Gr 107.8134 46.376424451877035 1948.506741207819 149.67992818357047 -5000.0 3,425.33 2,253 210075.14 55925.12111912689 266000.2611191269
03-02-2025 HSBC Value Fund Reg Gr 100.0603 49.96986816949379 1898.5368730383252 149.67992818357047 -5000.0 3,303.32 2,286 189968.17 56271.704992835956 246239.87499283598
03-03-2025 HSBC Value Fund Reg Gr 90.8276 55.04934623396412 1843.487526804361 149.67992818357047 -5000.0 3,130.85 2,314 167439.55 56571.04988121027 224010.59988121025
01-04-2025 HSBC Value Fund Reg Gr 97.862 51.09235454006663 1792.3951722642944 149.67992818357047 -5000.0 3,265.21 2,343 175407.38 56932.332323866955 232339.71232386696
02-05-2025 HSBC Value Fund Reg Gr 102.0741 48.98402239157632 1743.4111498727182 149.67992818357047 -5000.0 3,336.8 2,374 177957.12 57274.96464747197 235232.08464747196
02-06-2025 HSBC Value Fund Reg Gr 107.8148 46.37582224332837 1697.0353276293897 149.67992818357047 -5000.0 3,425.36 2,405 182965.52 57591.94183138631 240557.46183138632
01-07-2025 HSBC Value Fund Reg Gr 112.4696 44.45645756720038 1652.5788700621893 149.67992818357047 -5000.0 3,490.53 2,434 185864.88 57876.453438877645 243741.33343887766
01-08-2025 HSBC Value Fund Reg Gr 108.5714 46.05264369806413 1606.526226364125 149.67992818357047 -5000.0 3,436.33 2,465 174422.8 58147.98779659546 232570.78779659545
01-09-2025 HSBC Value Fund Reg Gr 108.7319 45.9846650339045 1560.5415613302205 149.67992818357047 -5000.0 3,438.64 2,496 169680.65 58419.07311452872 228099.72311452872
01-10-2025 HSBC Value Fund Reg Gr 109.1551 45.80638009584527 1514.7351812343752 149.67992818357047 -5000.0 3,444.69 2,526 165341.07 58697.59752489271 224038.66752489272
02-11-2025 ICICI Pru Liquid Gr 394.0395 12.689083201049641 1514.7351812343752 136.99084498252083 -5000.0 1,609.01 2,558 171156.13854191513 53979.8 225135.93854191515

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