Data as on -
Mutual Fund Benchmark Returns

Summary

Benchmark Name SIP Investment Cost SIP Value as on 12-12-2025 Growth Amount Enhanced Growth Amount Enhanced Growth (%) CAGR Returns (%)
NIFTY 50 TRI 72300.00 79546.52 7246.52 3539.90 4.66% 10.11

Cash Flow

NIFTY 50 TRI
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
12-01-2024 32173.66 0.0932 3000.0 2998.59
12-02-2024 31803.52 0.1875 6000.0 5963.16
12-03-2024 32879.74 0.2787 9000.0 9163.58
12-04-2024 33150.59 0.3692 12000.0 12239.2
13-05-2024 32594.61 0.4612 15000.0 15032.63
12-06-2024 34487.88 0.5482 18000.0 18906.26
12-07-2024 36278.67 0.6309 21000.0 22888.21
12-08-2024 36119.45 0.714 24000.0 25789.29
12-09-2024 37688.9 0.7936 27000.0 29909.91
14-10-2024 37301.5 0.874 30000.0 32601.51
12-11-2024 35503.11 0.9585 33000.0 34029.73
12-12-2024 36499.75 1.0407 36000.0 37985.29
13-01-2025 34324.87 1.1368 39300.0 39020.51
12-02-2025 34344.93 1.2329 42600.0 42343.86
12-03-2025 33490.87 1.3314 45900.0 44589.74
15-04-2025 34769.71 1.4263 49200.0 49592.04
12-05-2025 37156.25 1.5151 52500.0 56295.43
12-06-2025 37209.11 1.6038 55800.0 59675.97
14-07-2025 37582.84 1.6916 59100.0 63575.13
12-08-2025 36780.73 1.7813 62400.0 65517.51
12-09-2025 37748.61 1.8687 65700.0 70540.83
13-10-2025 37918.98 1.9557 69000.0 74158.15
12-11-2025 38950.78 2.0404 72300.0 79475.17