Axis MF Balanced Advantage Fund February 2025 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 28-07-2025 Return (%) as on 28-07-2025
HSBC Value Fund Reg Gr HSBCMF 27-08-2021 to 27-08-2025 29 145000.0 413246.49 14.83

Systematic Withdrawal Plan - ICICI Pru Liquid Gr

Scheme AMC Name Withdrawal Period No of Monthly Installments Total Withdrawal Amount Current Value as on 28-07-2025 Return (%) as on 28-07-2025
ICICI Pru Liquid Gr ICICIMF 27-08-2021 to 27-08-2025 4 20000.0 42991.18735675665 5.74

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)
27-08-2018 HSBC Value Fund Reg Gr 37.927 4218.630527065152 4218.630527065152 0.0 160000.0 0 0 160000.0 0.0 160000.0
27-08-2018 ICICI Pru Liquid Gr 263.8344 151.61025249171448 4218.630527065152 151.61025249171448 40000.0 0 0 160000.00000000003 40000.0 200000.00000000003
27-08-2021 HSBC Value Fund Reg Gr 53.79 92.95408068414204 4125.67644638101 151.61025249171448 -5000.0 1,474.53 1,096 221920.14 46548.56227997562 268468.70227997564
27-09-2021 HSBC Value Fund Reg Gr 57.133 87.51509635412108 4038.1613500268886 151.61025249171448 -5000.0 1,680.81 1,127 230712.27 46665.16572516699 277377.435725167
27-10-2021 HSBC Value Fund Reg Gr 59.958 83.39170752860336 3954.769642498285 151.61025249171448 -5000.0 1,837.2 1,157 237120.08 46779.02502478827 283899.10502478824
29-11-2021 HSBC Value Fund Reg Gr 55.201 90.57806923787612 3864.191573260409 151.61025249171448 -5000.0 1,564.65 1,190 213307.24 46927.90629273513 260235.14629273512
27-12-2021 HSBC Value Fund Reg Gr 57.145 87.49671887304225 3776.694854387367 151.61025249171448 -5000.0 1,681.51 1,218 215819.23 47047.25388349661 262866.4838834966
27-01-2022 HSBC Value Fund Reg Gr 57.225 87.3743993010048 3689.320455086362 151.61025249171448 -5000.0 1,686.15 1,249 211121.36 47179.50350674513 258300.8635067451
28-02-2022 HSBC Value Fund Reg Gr 55.413 90.23153411654306 3599.088920969819 151.61025249171448 -5000.0 1,577.79 1,281 199436.31 47325.48901886941 246761.7990188694
28-03-2022 HSBC Value Fund Reg Gr 56.691 88.19742110740681 3510.8914998624123 151.61025249171448 -5000.0 1,654.94 1,309 199035.95 47455.03997962357 246490.98997962358
27-04-2022 HSBC Value Fund Reg Gr 56.692 88.19586537783108 3422.695634484581 151.61025249171448 -5000.0 1,655 1,339 194039.46 47600.41905073788 241639.8790507379
27-05-2022 HSBC Value Fund Reg Gr 52.62 95.02090459901179 3327.6747298855694 151.61025249171448 -5000.0 1,396.14 1,369 175102.24 47728.226493588394 222830.46649358838
27-06-2022 HSBC Value Fund Reg Gr 50.918 98.19710122157194 3229.4776286639976 151.61025249171448 -5000.0 1,275.68 1,400 164438.54 47912.8574590728 212351.39745907282
27-07-2022 HSBC Value Fund Reg Gr 54.675 91.44947416552355 3138.028154498474 151.61025249171448 -5000.0 1,531.6 1,430 171571.69 48087.830851473496 219659.5208514735
29-08-2022 HSBC Value Fund Reg Gr 57.07 87.61170492377782 3050.4164495746963 151.61025249171448 -5000.0 1,677.15 1,463 174087.27 48324.61574381505 222411.88574381504
27-09-2022 HSBC Value Fund Reg Gr 56.238 88.90785589814716 2961.508593676549 151.61025249171448 -5000.0 1,627.99 1,492 166549.32 48503.28842637654 215052.60842637654
27-10-2022 HSBC Value Fund Reg Gr 59.4 84.17508417508418 2877.333509501465 151.61025249171448 -5000.0 1,807.49 1,522 170913.61 48743.7119647779 219657.3219647779
28-11-2022 HSBC Value Fund Reg Gr 61.2528 81.62892145338662 2795.704588048078 151.61025249171448 -5000.0 1,904.06 1,554 171244.73 49013.00209525368 220257.73209525368
27-12-2022 HSBC Value Fund Reg Gr 60.6566 82.43126057180918 2713.273327476269 151.61025249171448 -5000.0 1,873.63 1,583 164577.93 49260.6877647494 213838.6177647494
27-02-2024 HSBC Value Fund Reg Gr 93.3361 53.56984060829625 1716.8743204495293 151.61025249171448 -5000.0 2,968.26 2,010 160246.35 53358.985788054924 213605.33578805492
27-06-2024 HSBC Value Fund Reg Gr 107.0353 46.713560853288584 1513.592993365488 151.61025249171448 -5000.0 3,228.29 2,131 162007.88 54659.02854214612 216666.90854214612
29-07-2024 HSBC Value Fund Reg Gr 110.085 45.419448607893905 1468.173544757594 151.61025249171448 -5000.0 3,277.38 2,163 161623.88 55004.80604500398 216628.686045004
27-08-2024 ICICI Pru Liquid Gr 364.7697 13.70727886663832 1468.173544757594 137.90297362507616 -5000.0 1,383.55 2,192 160990.22097272237 50302.83 211293.05097272235
27-09-2024 ICICI Pru Liquid Gr 366.9088 13.627364620308917 1468.173544757594 124.27560900476723 -5000.0 1,404.63 2,223 166542.55968428662 45597.81 212140.36968428662
27-10-2024 ICICI Pru Liquid Gr 369.037 13.548776951904552 1468.173544757594 110.72683205286268 -5000.0 1,425.37 2,253 155881.41748902935 40862.3 196743.71748902934
27-11-2024 HSBC Value Fund Reg Gr 108.0567 46.2720034944617 4172.3585235706905 110.72683205286268 -5000.0 3,245.04 2,284 450851.29 41099.37514040066 491950.66514040064
27-12-2024 HSBC Value Fund Reg Gr 107.7625 46.398329660132234 4125.960193910559 110.72683205286268 -5000.0 3,240.25 2,314 444623.79 41315.945751212865 485939.73575121287
27-01-2025 HSBC Value Fund Reg Gr 97.8802 51.082854346435745 4074.877339564123 110.72683205286268 -5000.0 3,062.58 2,345 398849.81 41570.717119083296 440420.5271190833
27-02-2025 HSBC Value Fund Reg Gr 93.1007 53.70528900427172 4021.172050559851 110.72683205286268 -5000.0 2,963.12 2,376 374373.93 41818.9445311794 416192.8745311794
27-03-2025 HSBC Value Fund Reg Gr 98.4878 50.767709300035136 3970.4043412598157 110.72683205286268 -5000.0 3,074.53 2,404 391036.39 42037.17604447239 433073.5660444724
28-04-2025 HSBC Value Fund Reg Gr 102.7916 48.64210694259064 3921.762234317225 110.72683205286268 -5000.0 3,155.15 2,436 403124.21 42343.269298999316 445467.47929899936
27-05-2025 HSBC Value Fund Reg Gr 106.97 46.742077217911564 3875.0201570993136 110.72683205286268 -5000.0 3,227.21 2,465 414510.91 42559.85098249472 457070.7609824947
27-06-2025 HSBC Value Fund Reg Gr 112.1306 44.59086101385349 3830.42929608546 110.72683205286268 -5000.0 3,308.8 2,496 429508.34 42777.66173382591 472286.00173382595
28-07-2025 HSBC Value Fund Reg Gr 109.1905 45.79152948287626 3784.6377666025837 110.72683205286268 -5000.0 3,263.26 2,527 413246.49 42991.18735675665 456237.67735675664
27-08-2025 ICICI Pru Liquid Gr 390.008 12.820249841028902 3784.6377666025837 138.79000265068558 -5000.0 1,617.58 2,557 412449.4453405729 54129.21 466578.65534057294

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