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 07-11-2025 Return (%) as on 07-11-2025
HSBC Value Fund Reg Gr HSBCMF 07-11-2021 to 07-11-2025 49 245000.0 160319.57 17.93

Systematic Withdrawal Plan - ICICI Pru Liquid Gr

Scheme AMC Name Withdrawal Period No of Monthly Installments Total Withdrawal Amount Current Value as on 07-11-2025 Return (%) as on 07-11-2025
ICICI Pru Liquid Gr ICICIMF 07-11-2021 to 07-11-2025 58954.1356612136 7.55

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)
07-11-2018 ICICI Pru Liquid Gr 267.5739 149.49141153154326 0.0 149.49141153154326 40000.0 0 0 0.0 40000.0 40000.0
09-11-2018 HSBC Value Fund Reg Gr 34.331 4660.510908508345 4660.510908508345 149.49141153154326 160000.0 0 0 160000.0 40016.38425870386 200016.38425870385
08-11-2021 HSBC Value Fund Reg Gr 60.031 83.29030001166065 4577.220608496685 149.49141153154326 -5000.0 2,140.56 1,095 274775.13 46181.29047713548 320956.42047713546
07-12-2021 HSBC Value Fund Reg Gr 56.327 88.76737621389387 4488.453232282791 149.49141153154326 -5000.0 1,952.53 1,124 252821.11 46304.56109508439 299125.6710950844
07-01-2022 HSBC Value Fund Reg Gr 59.291 84.32983083435936 4404.123401448432 149.49141153154326 -5000.0 2,104.87 1,155 261124.88 46441.76431258804 307566.64431258803
07-02-2022 HSBC Value Fund Reg Gr 58.533 85.4218987579656 4318.701502690466 149.49141153154326 -5000.0 2,067.38 1,186 252786.56 46566.75408176956 299353.31408176955
07-03-2022 HSBC Value Fund Reg Gr 52.694 94.88746346832656 4223.81403922214 149.49141153154326 -5000.0 1,742.42 1,214 222569.66 46693.358358195626 269263.0183581956
07-04-2022 HSBC Value Fund Reg Gr 58.617 85.2994864970913 4138.514552725049 149.49141153154326 -5000.0 2,071.58 1,245 242587.31 46850.399086009515 289437.70908600953
09-05-2022 HSBC Value Fund Reg Gr 53.813 92.91435155074052 4045.6002011743085 149.49141153154326 -5000.0 1,810.16 1,277 217705.88 46960.42476489673 264666.30476489675
07-06-2022 HSBC Value Fund Reg Gr 52.964 94.40374594063893 3951.1964552336694 149.49141153154326 -5000.0 1,759.02 1,306 209271.17 47118.66142400287 256389.83142400288
07-07-2022 HSBC Value Fund Reg Gr 52.098 95.97297401051864 3855.223481223151 149.49141153154326 -5000.0 1,705.15 1,336 200849.43 47313.388936663854 248162.81893666385
08-08-2022 HSBC Value Fund Reg Gr 56.771 88.073135932078 3767.150345291073 149.49141153154326 -5000.0 1,976.36 1,368 213864.89 47502.48062311011 261367.37062311012
07-09-2022 HSBC Value Fund Reg Gr 58.413 85.59738414394056 3681.5529611471325 149.49141153154326 -5000.0 2,061.36 1,398 215050.55 47715.401240554485 262765.95124055445
07-10-2022 HSBC Value Fund Reg Gr 57.811 86.48873051841345 3595.064230628719 149.49141153154326 -5000.0 2,030.76 1,428 207834.26 47921.430303927256 255755.69030392726
07-11-2022 HSBC Value Fund Reg Gr 60.904 82.09641402863522 3512.967816600084 149.49141153154326 -5000.0 2,181.55 1,459 213953.79 48156.475650278306 262110.2656502783
07-12-2022 HSBC Value Fund Reg Gr 61.9429 80.71950134720848 3432.2483152528757 149.49141153154326 -5000.0 2,228.82 1,489 212603.41 48402.70295421191 261006.11295421192
09-01-2023 HSBC Value Fund Reg Gr 61.3738 81.46798796880753 3350.7803272840683 149.49141153154326 -5000.0 2,203.12 1,522 205650.12 48700.504795123896 254350.62479512388
07-02-2023 HSBC Value Fund Reg Gr 60.7275 82.33502120126796 3268.4453060828005 149.49141153154326 -5000.0 2,173.36 1,551 198484.51 48936.22285282683 247420.73285282683
08-03-2023 HSBC Value Fund Reg Gr 61.8283 80.86911656959677 3187.5761895132036 149.49141153154326 -5000.0 2,223.68 1,580 197082.42 49179.310837118275 246261.7308371183
10-04-2023 HSBC Value Fund Reg Gr 61.0639 81.88143895165557 3105.694750561548 149.49141153154326 -5000.0 2,188.93 1,613 189645.83 49536.714903807886 239182.54490380787
08-05-2023 HSBC Value Fund Reg Gr 63.2178 79.09164823831263 3026.6031023232354 149.49141153154326 -5000.0 2,284.7 1,641 191335.19 49783.36078369378 241118.5507836938
07-06-2023 HSBC Value Fund Reg Gr 65.3347 76.52901138292516 2950.0740909403103 149.49141153154326 -5000.0 2,372.68 1,671 192742.21 50068.485752907894 242810.6957529079
07-07-2023 HSBC Value Fund Reg Gr 68.0095 73.5191407082834 2876.554950232027 149.49141153154326 -5000.0 2,476.01 1,701 195633.06 50342.72774736251 245975.7877473625
07-08-2023 HSBC Value Fund Reg Gr 70.6391 70.78232876692937 2805.7726214650975 149.49141153154326 -5000.0 2,569.97 1,732 198197.25 50623.77160104181 248821.0216010418
07-09-2023 HSBC Value Fund Reg Gr 74.8767 66.77644714577433 2738.996174319323 149.49141153154326 -5000.0 2,707.5 1,763 205086.99 50905.29382723801 255992.28382723802
09-10-2023 HSBC Value Fund Reg Gr 74.1353 67.44425395189606 2671.551920367427 149.49141153154326 -5000.0 2,684.57 1,795 198056.3 51205.2034970526 249261.5034970526
07-11-2023 HSBC Value Fund Reg Gr 75.4171 66.29796160287255 2605.2539587645547 149.49141153154326 -5000.0 2,723.92 1,824 196480.7 51476.65000211157 247957.35000211158
07-12-2023 HSBC Value Fund Reg Gr 83.2925 60.0294144130624 2545.224544351492 149.49141153154326 -5000.0 2,939.13 1,854 211998.12 51766.469001647776 263764.5890016478
08-01-2024 HSBC Value Fund Reg Gr 85.6582 58.37152776967063 2486.8530165818215 149.49141153154326 -5000.0 2,996.05 1,886 213019.35 52103.392744957564 265122.74274495756
07-02-2024 HSBC Value Fund Reg Gr 91.7157 54.51629328457396 2432.3367232972478 149.49141153154326 -5000.0 3,128.4 1,916 223083.47 52400.805908199574 275484.2759081996
07-03-2024 HSBC Value Fund Reg Gr 93.2769 53.603839750248994 2378.732883546999 149.49141153154326 -5000.0 3,159.73 1,945 221880.83 52709.44587644759 274590.27587644756
08-04-2024 HSBC Value Fund Reg Gr 94.7324 52.780252585176775 2325.9526309618223 149.49141153154326 -5000.0 3,188 1,977 220343.08 53091.665517451445 273434.74551745143
07-05-2024 HSBC Value Fund Reg Gr 94.491 52.9150924426665 2273.0375385191555 149.49141153154326 -5000.0 3,183.37 2,006 214781.59 53377.58279114668 268159.1727911467
07-06-2024 HSBC Value Fund Reg Gr 102.7391 48.66696321069583 2224.3705753084596 149.49141153154326 -5000.0 3,329.21 2,037 228529.83 53697.673801518016 282227.503801518
08-07-2024 HSBC Value Fund Reg Gr 108.6702 46.0107738828124 2178.359801425647 149.49141153154326 -5000.0 3,420.4 2,068 236722.8 54021.27786006035 290744.0778600603
07-08-2024 HSBC Value Fund Reg Gr 105.8338 47.24388616869091 2131.115915256956 149.49141153154326 -5000.0 3,378.07 2,098 225544.1 54327.15223719504 279871.25223719503
09-09-2024 HSBC Value Fund Reg Gr 108.9644 45.8865464316786 2085.2293688252776 149.49141153154326 -5000.0 3,424.67 2,131 227215.77 54660.622728898445 281876.39272889844
07-10-2024 HSBC Value Fund Reg Gr 107.9543 46.31589478140287 2038.9134740438747 149.49141153154326 -5000.0 3,409.93 2,159 220109.48 54967.91727444269 275077.3972744427
07-11-2024 HSBC Value Fund Reg Gr 109.4419 45.686341337275756 1993.227132706599 149.49141153154326 -5000.0 3,431.54 2,190 218142.56 55285.780862782216 273428.3408627822
09-12-2024 HSBC Value Fund Reg Gr 112.4874 44.44942277979578 1948.7777099268033 149.49141153154326 -5000.0 3,474.01 2,222 219212.94 55612.76342722516 274825.7034272252
07-01-2025 HSBC Value Fund Reg Gr 106.4561 46.96771720925339 1901.80999271755 149.49141153154326 -5000.0 3,387.55 2,251 202459.27 55919.788888228635 258379.0588882286
07-02-2025 HSBC Value Fund Reg Gr 101.2627 49.376522648517174 1852.4334700690326 149.49141153154326 -5000.0 3,304.85 2,282 187582.41 56250.583483665636 243832.99348366563
07-03-2025 HSBC Value Fund Reg Gr 94.1008 53.13451107748286 1799.2989589915499 149.49141153154326 -5000.0 3,175.84 2,310 169315.47 56537.278112700835 225852.74811270082
07-04-2025 HSBC Value Fund Reg Gr 93.5967 53.42068684045485 1745.878272151095 149.49141153154326 -5000.0 3,166.01 2,341 163408.44 56957.69280935099 220366.132809351
07-05-2025 HSBC Value Fund Reg Gr 102.0314 49.00452213730283 1696.8737500137922 149.49141153154326 -5000.0 3,317.63 2,371 173134.4 57250.8305182232 230385.2305182232
09-06-2025 HSBC Value Fund Reg Gr 111.1982 44.9647566237583 1651.9089933900339 149.49141153154326 -5000.0 3,456.31 2,404 183689.31 57607.93560208975 241297.24560208974
07-07-2025 HSBC Value Fund Reg Gr 111.8473 44.7038059926346 1607.2051873973992 149.49141153154326 -5000.0 3,465.27 2,432 179761.56 57867.84137017849 237629.4013701785
07-08-2025 HSBC Value Fund Reg Gr 108.9833 45.87858873790755 1561.3265986594915 149.49141153154326 -5000.0 3,424.94 2,463 170158.53 58127.3734097384 228285.90340973838
08-09-2025 HSBC Value Fund Reg Gr 108.396 46.12716336396177 1515.1994352955298 149.49141153154326 -5000.0 3,416.41 2,495 164241.56 58406.57851905587 222648.13851905585
07-10-2025 HSBC Value Fund Reg Gr 110.2604 45.347196273548796 1469.852239021981 149.49141153154326 -5000.0 3,443.19 2,524 162066.5 58679.90861590014 220746.40861590015
07-11-2025 HSBC Value Fund Reg Gr 112.4736 44.45487652213497 1425.397362499846 149.49141153154326 -5000.0 3,473.82 2,555 160319.57 58954.1356612136 219273.7056612136

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