Data as on -
Mutual Fund Benchmark Returns

Summary

Benchmark Name SIP Investment Cost SIP Value as on 05-12-2025 Growth Amount Enhanced Growth Amount Enhanced Growth (%) CAGR Returns (%)
NIFTY 50 TRI 72300.00 80185.17 7885.17 3574.07 4.67% 11.02

Cash Flow

NIFTY 50 TRI
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
08-01-2024 31613.01 0.0949 3000.0 3000.07
06-02-2024 32242.59 0.1879 6000.0 6058.38
06-03-2024 33083.42 0.2786 9000.0 9217.04
08-04-2024 33366.87 0.3685 12000.0 12295.69
06-05-2024 33037.73 0.4593 15000.0 15174.23
06-06-2024 33738.58 0.5482 18000.0 18495.49
08-07-2024 36004.74 0.6315 21000.0 22736.99
06-08-2024 35554.15 0.7159 24000.0 25453.22
06-09-2024 36892.07 0.7972 27000.0 29410.36
07-10-2024 36808.37 0.8787 30000.0 32343.51
06-11-2024 36393.85 0.9611 33000.0 34978.13
06-12-2024 36691.68 1.0429 36000.0 38265.75
06-01-2025 35113.04 1.1369 39300.0 39920.02
06-02-2025 35143.08 1.2308 42600.0 43254.1
06-03-2025 33599.3 1.329 45900.0 44653.47
07-04-2025 33030.49 1.4289 49200.0 47197.27
06-05-2025 36342.6 1.5197 52500.0 55229.85
06-06-2025 37377.42 1.608 55800.0 60102.89
07-07-2025 38145.33 1.6945 59100.0 64637.26
06-08-2025 36880.81 1.784 62400.0 65795.37
08-09-2025 37236.28 1.8726 65700.0 69728.66
06-10-2025 37694.02 1.9601 69000.0 73884.05
06-11-2025 38381.02 2.0461 72300.0 78531.41