Data as on -
Mutual Fund Benchmark Returns

Summary

Benchmark Name SIP Investment Cost SIP Value as on 16-01-2025 Growth Amount Enhanced Growth Amount Enhanced Growth (%) CAGR Returns (%)
NIFTY 50 TRI 72300.00 80579.13 8279.13 3282.37 4.25% 11.53

Cash Flow

NIFTY 50 TRI
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
17-02-2023 26116.12 0.1149 3000.0 3000.74
17-03-2023 24888.1 0.2354 6000.0 5858.66
17-04-2023 25774.07 0.3518 9000.0 9067.32
17-05-2023 26526.82 0.4649 12000.0 12332.32
19-06-2023 27422.87 0.5743 15000.0 15748.95
17-07-2023 28833.54 0.6783 18000.0 19557.79
17-08-2023 28393.16 0.784 21000.0 22260.24
18-09-2023 29533.91 0.8856 24000.0 26155.23
17-10-2023 29061.8 0.9888 27000.0 28736.31
17-11-2023 28995.52 1.0923 30000.0 31671.81
18-12-2023 31474.35 1.1876 33000.0 37378.94
17-01-2024 31699.64 1.2822 36000.0 40645.28
19-02-2024 32561.34 1.3835 39300.0 45048.61
18-03-2024 32468.0 1.4851 42600.0 48218.23
18-04-2024 32379.9 1.587 45900.0 51386.9
17-05-2024 33138.02 1.6866 49200.0 55890.58
18-06-2024 34847.24 1.7813 52500.0 62073.39
18-07-2024 36723.93 1.8712 55800.0 68717.82
19-08-2024 36473.95 1.9617 59100.0 71550.95
17-09-2024 37732.87 2.0492 62400.0 77322.2
17-10-2024 36740.25 2.139 65700.0 78587.39
18-11-2024 34871.21 2.2336 69000.0 77888.33
17-12-2024 36183.53 2.3248 72300.0 84119.47