LIC MF Value Fund June 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 29-05-2025 Return (%) as on 29-05-2025
HSBC Value Fund Reg Gr HSBCMF 29-06-2021 to 29-06-2025 42 210000.0 469501.41 16.17

Systematic Withdrawal Plan - ICICI Pru Liquid Gr

Scheme AMC Name Withdrawal Period No of Monthly Installments Total Withdrawal Amount Current Value as on 29-05-2025 Return (%) as on 29-05-2025
ICICI Pru Liquid Gr ICICIMF 29-06-2021 to 29-06-2025 4 20000.0 43524.626451465425 5.77

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)
29-06-2018 HSBC Value Fund Reg Gr 34.977 4574.434628470138 4574.434628470138 0.0 160000.0 0 0 160000.0 0.0 160000.0
29-06-2018 ICICI Pru Liquid Gr 260.8072 153.36999898775798 4574.434628470138 153.36999898775798 40000.0 0 0 160000.0 40000.0 200000.0
29-06-2021 HSBC Value Fund Reg Gr 50.777 98.4697796246332 4475.964848845505 153.36999898775798 -5000.0 1,555.82 1,096 227276.07 46836.283660880516 274112.35366088053
29-07-2021 HSBC Value Fund Reg Gr 52.91 94.5000945000945 4381.46475434541 153.36999898775798 -5000.0 1,694.67 1,126 231823.3 46963.62677104006 278786.9267710401
30-08-2021 HSBC Value Fund Reg Gr 54.653 91.48628620569777 4289.978468139712 153.36999898775798 -5000.0 1,800.08 1,158 234460.19 47100.831572134506 281561.0215721345
29-09-2021 HSBC Value Fund Reg Gr 56.79 88.04366966015144 4201.93479847956 153.36999898775798 -5000.0 1,920.5 1,188 238627.88 47210.828535408524 285838.70853540854
29-10-2021 HSBC Value Fund Reg Gr 58.394 85.62523546939754 4116.3095630101625 153.36999898775798 -5000.0 2,005.09 1,218 240367.78 47329.153489627584 287696.93348962755
29-11-2021 HSBC Value Fund Reg Gr 55.201 90.57806923787612 4025.7314937722863 153.36999898775798 -5000.0 1,831.85 1,249 222224.4 47472.60044968083 269697.00044968084
29-12-2021 HSBC Value Fund Reg Gr 57.773 86.54561819535077 3939.1858755769354 153.36999898775798 -5000.0 1,972.89 1,279 227578.59 47602.734893821944 275181.32489382196
31-01-2022 HSBC Value Fund Reg Gr 58.497 85.47446877617655 3853.7114068007586 153.36999898775798 -5000.0 2,010.36 1,312 225430.56 47745.93646187681 273176.4964618768
02-03-2022 HSBC Value Fund Reg Gr 54.881 91.10621162150835 3762.60519517925 153.36999898775798 -5000.0 1,813.38 1,342 206495.54 47883.54002496863 254379.08002496863
29-03-2022 HSBC Value Fund Reg Gr 57.193 87.42328606647666 3675.1819091127736 153.36999898775798 -5000.0 1,942.2 1,369 210194.68 48010.19297013272 258204.8729701327
29-04-2022 HSBC Value Fund Reg Gr 56.679 88.21609414421567 3586.965814968558 153.36999898775798 -5000.0 1,914.47 1,400 203305.64 48158.915858151144 251464.55585815117
30-05-2022 HSBC Value Fund Reg Gr 53.628 93.23487730290147 3493.7309376656563 153.36999898775798 -5000.0 1,738.92 1,431 187361.8 48300.84445521442 235662.6444552144
29-06-2022 HSBC Value Fund Reg Gr 50.951 98.13350081450805 3395.5974368511484 153.36999898775798 -5000.0 1,567.58 1,461 173009.09 48482.00509801876 221491.09509801876
29-07-2022 HSBC Value Fund Reg Gr 55.794 89.6153708284045 3305.9820660227438 153.36999898775798 -5000.0 1,865.52 1,491 184453.96 48659.96030784425 233113.92030784424
29-08-2022 HSBC Value Fund Reg Gr 57.07 87.61170492377782 3218.370361098966 153.36999898775798 -5000.0 1,935.61 1,522 183672.4 48885.52156535554 232557.92156535553
29-09-2022 HSBC Value Fund Reg Gr 56.122 89.09162182388368 3129.2787392750824 153.36999898775798 -5000.0 1,883.84 1,553 175621.38 49084.67250904116 224706.05250904115
31-10-2022 HSBC Value Fund Reg Gr 59.883 83.49615082744685 3045.7825884476356 153.36999898775798 -5000.0 2,079.56 1,585 182390.6 49343.177642335024 231733.77764233504
29-11-2022 HSBC Value Fund Reg Gr 61.2711 81.60454112950478 2964.1780473181307 153.36999898775798 -5000.0 2,145.72 1,614 181618.45 49591.03889769913 231209.48889769914
29-12-2022 HSBC Value Fund Reg Gr 61.0993 81.83399809817789 2882.344049219953 153.36999898775798 -5000.0 2,137.69 1,644 176109.2 49854.75861095859 225963.9586109586
30-01-2023 HSBC Value Fund Reg Gr 59.7452 83.68873147968372 2798.6553177402693 153.36999898775798 -5000.0 2,072.82 1,676 167206.22 50133.56993211844 217339.78993211844
01-03-2023 HSBC Value Fund Reg Gr 60.3779 82.81175728205189 2715.8435604582173 153.36999898775798 -5000.0 2,103.49 1,706 163976.93 50391.783662414215 214368.7136624142
02-05-2023 HSBC Value Fund Reg Gr 62.7463 79.68597351556984 2552.188467426041 153.36999898775798 -5000.0 2,212.82 1,768 160140.38 51017.257192286095 211157.63719228609
30-06-2023 HSBC Value Fund Reg Gr 66.9257 74.70971540081014 2398.901317892765 153.36999898775798 -5000.0 2,386.88 1,827 160548.15 51575.53932560143 212123.68932560142
31-07-2023 HSBC Value Fund Reg Gr 71.2608 70.1648030894966 2328.736514803268 153.36999898775798 -5000.0 2,545.85 1,858 165947.63 51870.362474655594 217817.9924746556
29-08-2023 HSBC Value Fund Reg Gr 72.2465 69.20750486182722 2259.529009941441 153.36999898775798 -5000.0 2,579.33 1,887 163243.06 52138.882668883365 215381.94266888336
29-09-2023 HSBC Value Fund Reg Gr 75.1675 66.51810955532643 2193.0109003861144 153.36999898775798 -5000.0 2,673.4 1,918 164843.15 52439.196463901295 217282.34646390128
29-11-2023 HSBC Value Fund Reg Gr 79.5666 62.8404380732619 2062.0826671863047 153.36999898775798 -5000.0 2,802.03 1,979 164072.91 53028.873436009424 217101.78343600943
29-12-2023 HSBC Value Fund Reg Gr 85.307 58.61183724665033 2003.4708299396543 153.36999898775798 -5000.0 2,949.93 2,009 170910.09 53341.62553794526 224251.71553794527
29-01-2024 HSBC Value Fund Reg Gr 88.1375 56.72954190894908 1946.7412880307052 153.36999898775798 -5000.0 3,015.77 2,040 171580.91 53665.512301807605 225246.42230180762
29-02-2024 HSBC Value Fund Reg Gr 92.0111 54.34126969463467 1892.4000183360704 153.36999898775798 -5000.0 3,099.31 2,071 174121.81 54000.196313598695 228122.0063135987
31-03-2024 HSBC Value Fund Reg Gr 91.4872 54.65245411379953 1837.747564222271 153.36999898775798 -5000.0 3,088.42 2,102 168130.38 54350.662098285626 222481.04209828563
29-04-2024 HSBC Value Fund Reg Gr 96.3382 51.900492224268255 1785.8470719980028 153.36999898775798 -5000.0 3,184.68 2,131 172045.29 54680.085519111424 226725.37551911143
29-05-2024 HSBC Value Fund Reg Gr 99.408 50.297762755512636 1735.5493092424902 153.36999898775798 -5000.0 3,240.74 2,161 172527.49 54995.39890003036 227522.88890003035
01-07-2024 HSBC Value Fund Reg Gr 107.7809 46.39040869022248 1689.1589005522676 153.36999898775798 -5000.0 3,377.4 2,194 182059.07 55346.66220871202 237405.73220871203
29-07-2024 HSBC Value Fund Reg Gr 110.085 45.419448607893905 1643.7394519443737 153.36999898775798 -5000.0 3,411.36 2,222 180951.06 55643.24911275454 236594.30911275453
29-08-2024 HSBC Value Fund Reg Gr 109.8821 45.50331673675694 1598.2361352076168 153.36999898775798 -5000.0 3,408.43 2,253 175617.54 55965.00403363097 231582.54403363098
30-09-2024 HSBC Value Fund Reg Gr 112.8619 44.3019300578849 1553.934205149732 153.36999898775798 -5000.0 3,450.45 2,285 175379.97 56312.27972233894 231692.24972233895
29-10-2024 HSBC Value Fund Reg Gr 107.7132 46.419566032761075 1507.5146391169708 153.36999898775798 -5000.0 3,376.38 2,314 162379.23 56619.41848231183 218998.64848231184
29-11-2024 ICICI Pru Liquid Gr 371.3104 13.465822664810895 1507.5146391169708 139.90417632294708 -5000.0 1,488.02 2,345 163476.2442290195 51947.88 215424.1242290195
29-12-2024 ICICI Pru Liquid Gr 373.2789 13.394810154016206 1507.5146391169708 126.50936616893088 -5000.0 1,506.54 2,375 161250.2481128994 47223.28 208473.5281128994
29-01-2025 ICICI Pru Liquid Gr 375.5911 13.312349520529107 1507.5146391169708 113.19701664840177 -5000.0 1,528.04 2,406 150329.05830981652 42515.79 192844.84830981653
28-02-2025 HSBC Value Fund Reg Gr 90.9038 55.00320118630904 4519.431427283829 113.19701664840177 -5000.0 3,076.15 2,436 410833.49 42759.278782502246 453592.7687825022
31-03-2025 HSBC Value Fund Reg Gr 98.3848 50.82085850659858 4468.610568777231 113.19701664840177 -5000.0 3,222.44 2,467 439643.36 43047.795338535696 482691.15533853567
29-04-2025 HSBC Value Fund Reg Gr 102.6896 48.690422399152396 4419.920146378078 113.19701664840177 -5000.0 3,296.96 2,496 453879.83 43291.689630606335 497171.51963060634
29-05-2025 HSBC Value Fund Reg Gr 107.3552 46.574362490126234 4373.345783887952 113.19701664840177 -5000.0 3,370.97 2,526 469501.41 43524.626451465425 513026.0364514654
29-06-2025 ICICI Pru Liquid Gr 386.4545 12.938133725962565 4373.345783887952 140.43186526179542 -5000.0 1,625.64 2,557 490385.8867548264 54270.53 544656.4167548264

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