Data as on -
Mutual Fund Benchmark Returns

Summary

Benchmark Name SIP Investment Cost SIP Value as on 09-02-2026 Growth Amount Enhanced Growth Amount Enhanced Growth (%) CAGR Returns (%)
NIFTY 50 TRI 75600.00 81699.67 6099.67 3788.56 4.86% 8.5

Cash Flow

NIFTY 50 TRI
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
11-03-2024 32875.25 0.0913 3000.0 3001.51
09-04-2024 33332.19 0.1813 6000.0 6043.13
09-05-2024 32329.72 0.2741 9000.0 8861.58
10-06-2024 34385.84 0.3613 12000.0 12423.6
09-07-2024 36173.87 0.4442 15000.0 16068.43
09-08-2024 36126.23 0.5272 18000.0 19045.75
09-09-2024 37017.15 0.6082 21000.0 22513.83
09-10-2024 37084.75 0.6891 24000.0 25555.1
11-11-2024 35886.42 0.7727 27000.0 27729.44
09-12-2024 36604.29 0.8547 30000.0 31285.69
09-01-2025 34979.91 0.9405 33000.0 32898.61
10-02-2025 34825.87 1.0266 36000.0 35752.24
10-03-2025 33473.92 1.1252 39300.0 37664.85
09-04-2025 33384.56 1.224 42600.0 40862.7
09-05-2025 35789.63 1.3162 45900.0 47106.31
09-06-2025 37527.12 1.4041 49200.0 52691.83
09-07-2025 38169.85 1.4906 52500.0 56895.98
11-08-2025 36900.03 1.58 55800.0 58302.05
09-09-2025 37379.78 1.6683 59100.0 62360.69
09-10-2025 37850.52 1.7555 62400.0 66446.59
10-11-2025 38497.01 1.8412 65700.0 70880.69
09-12-2025 38897.02 1.926 69000.0 74915.66
09-01-2026 38661.67 2.0114 72300.0 77764.08
09-02-2026 38976.99 2.0961 75600.0 81699.67