Data as on -
Mutual Fund Benchmark Returns

Summary

Benchmark Name SIP Investment Cost SIP Value as on 16-06-2026 Growth Amount Enhanced Growth Amount Enhanced Growth (%) CAGR Returns (%)
NIFTY 50 TRI 75600.00 74636.30 -963.70 3476.26 4.89% -1.37

Cash Flow

NIFTY 50 TRI
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
16-07-2024 36445.79 0.0823 3000.0 2999.49
16-08-2024 36415.85 0.1647 6000.0 5997.69
16-09-2024 37681.24 0.2443 9000.0 9205.53
16-10-2024 37068.99 0.3252 12000.0 12054.84
18-11-2024 34871.21 0.4112 15000.0 14339.04
16-12-2024 36677.48 0.493 18000.0 18082.0
16-01-2025 34660.67 0.5796 21000.0 20089.32
17-02-2025 34217.48 0.6673 24000.0 22833.32
17-03-2025 33547.88 0.7567 27000.0 25385.68
16-04-2025 34931.66 0.8426 30000.0 29433.42
16-05-2025 37318.13 0.923 33000.0 34444.63
16-06-2025 37298.12 1.0034 36000.0 37424.93
16-07-2025 37780.94 1.0907 39300.0 41207.67
18-08-2025 37379.38 1.179 42600.0 44070.29
16-09-2025 37936.66 1.266 45900.0 48027.81
16-10-2025 38460.73 1.3518 49200.0 51991.21
17-11-2025 39157.99 1.4361 52500.0 56234.79
16-12-2025 38927.87 1.5209 55800.0 59205.4
16-01-2026 38701.71 1.6062 59100.0 62162.69
16-02-2026 38699.22 1.6915 62400.0 65459.73
16-03-2026 35279.17 1.785 65700.0 62973.32
16-04-2026 36466.62 1.8755 69000.0 68393.15
18-05-2026 35674.46 1.968 72300.0 70207.34
16-06-2026 36248.81 2.059 75600.0 74636.3