Altcase Hero Of Unlisted Shares 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 07-08-2025 Return (%) as on 07-08-2025
HSBC Value Fund Reg Gr HSBCMF 07-08-2021 to 07-08-2025 36 180000.0 428442.84 15.32

Systematic Withdrawal Plan - ICICI Pru Liquid Gr

Scheme AMC Name Withdrawal Period No of Monthly Installments Total Withdrawal Amount Current Value as on 07-08-2025 Return (%) as on 07-08-2025
ICICI Pru Liquid Gr ICICIMF 07-08-2021 to 07-08-2025 3 15000.0 43402.760928355485 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)
07-08-2018 HSBC Value Fund Reg Gr 37.048 4318.721658389117 4318.721658389117 0.0 160000.0 0 0 160000.0 0.0 160000.0
07-08-2018 ICICI Pru Liquid Gr 262.8362 152.18603830066024 4318.721658389117 152.18603830066024 40000.0 0 0 160000.0 40000.0 200000.0
09-08-2021 HSBC Value Fund Reg Gr 53.94 92.69558769002596 4226.026070699091 152.18603830066024 -5000.0 1,565.81 1,098 227951.85 46645.50773447492 274597.35773447494
07-09-2021 HSBC Value Fund Reg Gr 56.119 89.09638446871826 4136.929686230373 152.18603830066024 -5000.0 1,699.16 1,127 232160.36 46768.58058364867 278928.9405836486
07-10-2021 HSBC Value Fund Reg Gr 58.479 85.50077805708032 4051.4289081732923 152.18603830066024 -5000.0 1,832.37 1,157 236923.51 46881.776558936705 283805.2865589367
08-11-2021 HSBC Value Fund Reg Gr 60.031 83.29030001166065 3968.1386081616315 152.18603830066024 -5000.0 1,914.26 1,189 238211.33 47013.721854143376 285225.0518541434
07-12-2021 HSBC Value Fund Reg Gr 56.327 88.76737621389387 3879.3712319477377 152.18603830066024 -5000.0 1,711.35 1,218 218513.34 47139.2144613261 265652.5544613261
07-01-2022 HSBC Value Fund Reg Gr 59.291 84.32983083435936 3795.0414011133785 152.18603830066024 -5000.0 1,875.75 1,249 225011.8 47278.89080727845 272290.69080727844
07-02-2022 HSBC Value Fund Reg Gr 58.533 85.4218987579656 3709.619502355413 152.18603830066024 -5000.0 1,835.29 1,280 217135.16 47406.13355390162 264541.2935539016
07-03-2022 HSBC Value Fund Reg Gr 52.694 94.88746346832656 3614.732038887086 152.18603830066024 -5000.0 1,484.61 1,308 190474.69 47535.019909738454 238009.70990973845
07-04-2022 HSBC Value Fund Reg Gr 58.617 85.2994864970913 3529.4325523899947 152.18603830066024 -5000.0 1,839.82 1,339 206884.75 47694.8913429733 254579.6413429733
09-05-2022 HSBC Value Fund Reg Gr 53.813 92.91435155074052 3436.5182008392544 152.18603830066024 -5000.0 1,557.71 1,371 184929.35 47806.90026716258 232736.25026716257
07-06-2022 HSBC Value Fund Reg Gr 52.964 94.40374594063893 3342.1144548986153 152.18603830066024 -5000.0 1,502.53 1,400 177011.75 47967.98918870384 224979.73918870382
07-07-2022 HSBC Value Fund Reg Gr 52.098 95.97297401051864 3246.141480888097 152.18603830066024 -5000.0 1,444.39 1,430 169117.48 48166.226722194275 217283.70672219427
08-08-2022 HSBC Value Fund Reg Gr 56.771 88.073135932078 3158.068344956019 152.18603830066024 -5000.0 1,737.07 1,462 179286.7 48358.72684204078 227645.4268420408
07-09-2022 HSBC Value Fund Reg Gr 58.413 85.59738414394056 3072.4709608120784 152.18603830066024 -5000.0 1,828.79 1,492 179472.25 48575.48541639242 228047.73541639242
07-10-2022 HSBC Value Fund Reg Gr 57.811 86.48873051841345 2985.982230293665 152.18603830066024 -5000.0 1,795.77 1,522 172622.62 48785.22821437838 221407.84821437838
07-11-2022 HSBC Value Fund Reg Gr 60.904 82.09641402863522 2903.88581626503 152.18603830066024 -5000.0 1,958.49 1,553 176858.26 49024.510322398506 225882.77032239852
07-12-2022 HSBC Value Fund Reg Gr 61.9429 80.71950134720848 2823.1663149178216 152.18603830066024 -5000.0 2,009.5 1,583 174875.11 49275.17594608353 224150.28594608352
09-01-2023 HSBC Value Fund Reg Gr 61.3738 81.46798796880753 2741.6983269490142 152.18603830066024 -5000.0 1,981.77 1,616 168268.44 49578.34575298228 217846.78575298228
07-02-2023 HSBC Value Fund Reg Gr 60.7275 82.33502120126796 2659.3633057477464 152.18603830066024 -5000.0 1,949.65 1,645 161496.49 49818.312698174755 211314.80269817475
07-12-2023 HSBC Value Fund Reg Gr 83.2925 60.0294144130624 1936.142544016438 152.18603830066024 -5000.0 2,776.03 1,948 161266.15 52699.57486830201 213965.724868302
08-01-2024 HSBC Value Fund Reg Gr 85.6582 58.37152776967063 1877.7710162467674 152.18603830066024 -5000.0 2,837.45 1,980 160846.49 53042.57176142403 213889.061761424
07-02-2024 HSBC Value Fund Reg Gr 91.7157 54.51629328457396 1823.2547229621935 152.18603830066024 -5000.0 2,980.28 2,010 167221.08 53345.345884623195 220566.4258846232
07-03-2024 HSBC Value Fund Reg Gr 93.2769 53.603839750248994 1769.6508832119443 152.18603830066024 -5000.0 3,014.08 2,039 165067.55 53659.54917929873 218727.09917929873
08-04-2024 HSBC Value Fund Reg Gr 94.7324 52.780252585176775 1716.8706306267675 152.18603830066024 -5000.0 3,044.6 2,071 162643.28 54048.658442025866 216691.93844202586
07-06-2024 HSBC Value Fund Reg Gr 102.7391 48.66696321069583 1615.288574973405 152.18603830066024 -5000.0 3,196.99 2,131 165953.29 54665.59020408908 220618.8802040891
08-07-2024 HSBC Value Fund Reg Gr 108.6702 46.0107738828124 1569.2778010905927 152.18603830066024 -5000.0 3,295.39 2,162 170533.73 54995.02732119852 225528.75732119853
07-08-2024 HSBC Value Fund Reg Gr 105.8338 47.24388616869091 1522.0339149219017 152.18603830066024 -5000.0 3,249.71 2,192 161082.63 55306.4151741655 216389.0451741655
09-09-2024 HSBC Value Fund Reg Gr 108.9644 45.8865464316786 1476.147368490223 152.18603830066024 -5000.0 3,300 2,225 160847.51 55645.89656980278 216493.40656980278
07-10-2024 ICICI Pru Liquid Gr 367.6995 13.598060372668442 1476.147368490223 138.5879779279918 -5000.0 1,425.94 2,253 159356.45586220408 50958.73 210315.1858622041
07-11-2024 ICICI Pru Liquid Gr 369.8258 13.519878818622173 1476.147368490223 125.06809910936963 -5000.0 1,446.49 2,284 161552.37268757014 46253.41 207805.78268757014
07-12-2024 ICICI Pru Liquid Gr 371.8771 13.445302224847941 1476.147368490223 111.62279688452169 -5000.0 1,466.09 2,314 166047.9794983071 41509.96 207557.9394983071
07-01-2025 HSBC Value Fund Reg Gr 106.4561 46.96771720925339 4271.753941179863 111.62279688452169 -5000.0 3,259.94 2,345 454754.26 41754.39359992268 496508.65359992266
07-02-2025 HSBC Value Fund Reg Gr 101.2627 49.376522648517174 4222.377418531346 111.62279688452169 -5000.0 3,170.7 2,376 427569.34 42001.39252486875 469570.7325248688
07-03-2025 HSBC Value Fund Reg Gr 94.1008 53.13451107748286 4169.242907453863 111.62279688452169 -5000.0 3,031.47 2,404 392329.09 42215.462724733894 434544.55272473395
07-04-2025 HSBC Value Fund Reg Gr 93.5967 53.42068684045485 4115.822220613409 111.62279688452169 -5000.0 3,020.87 2,435 385227.38 42529.37951641223 427756.7595164122
07-05-2025 HSBC Value Fund Reg Gr 102.0314 49.00452213730283 4066.8176984761058 111.62279688452169 -5000.0 3,184.48 2,465 414943.1 42748.26065882309 457691.36065882305
09-06-2025 HSBC Value Fund Reg Gr 111.1982 44.9647566237583 4021.8529418523476 111.62279688452169 -5000.0 3,334.15 2,498 447222.81 43014.90519602084 490237.71519602084
07-07-2025 HSBC Value Fund Reg Gr 111.8473 44.7038059926346 3977.149135859713 111.62279688452169 -5000.0 3,343.81 2,526 444833.39 43208.972590684265 488042.36259068426
07-08-2025 HSBC Value Fund Reg Gr 108.9833 45.87858873790755 3931.2705471218055 111.62279688452169 -5000.0 3,300.29 2,557 428442.84 43402.760928355485 471845.60092835553

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