Data as on -
Mutual Fund Benchmark Returns

Summary

Benchmark Name SIP Investment Cost SIP Value as on 28-01-2026 Growth Amount Enhanced Growth Amount Enhanced Growth (%) CAGR Returns (%)
NIFTY 50 TRI 75600.00 80020.19 4420.19 3702.69 4.85% 6.19

Cash Flow

NIFTY 50 TRI
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
28-02-2024 32313.7 0.0928 3000.0 2998.71
28-03-2024 32867.23 0.1841 6000.0 6050.86
29-04-2024 33333.12 0.2741 9000.0 9136.61
28-05-2024 33780.01 0.3629 12000.0 12258.77
28-06-2024 35539.16 0.4473 15000.0 15896.67
29-07-2024 36786.3 0.5289 18000.0 19456.27
28-08-2024 37189.27 0.6096 21000.0 22670.58
30-09-2024 38315.21 0.6879 24000.0 26357.03
28-10-2024 36138.03 0.7709 27000.0 27858.81
28-11-2024 35556.27 0.8553 30000.0 30411.28
30-12-2024 35155.94 0.9406 33000.0 33067.68
28-01-2025 34165.22 1.0284 36000.0 35135.51
28-02-2025 32973.36 1.1285 39300.0 37210.44
28-03-2025 35054.08 1.2226 42600.0 42857.12
28-04-2025 36266.41 1.3136 45900.0 47639.56
28-05-2025 36943.42 1.4029 49200.0 51827.92
30-06-2025 38217.32 1.4892 52500.0 56913.23
28-07-2025 37027.65 1.5783 55800.0 58440.74
28-08-2025 36820.25 1.6679 59100.0 61412.49
29-09-2025 37028.48 1.757 62400.0 65059.04
28-10-2025 39022.73 1.8416 65700.0 71864.26
28-11-2025 39443.91 1.9253 69000.0 75941.36
29-12-2025 39051.24 2.0098 72300.0 78485.18
28-01-2026 38172.11 2.0963 75600.0 80020.19