Data as on -
Mutual Fund Benchmark Returns

Summary

Benchmark Name SIP Investment Cost SIP Value as on 23-05-2025 Growth Amount Enhanced Growth Amount Enhanced Growth (%) CAGR Returns (%)
NIFTY 50 TRI 72300.00 80860.62 8560.62 3391.68 4.38% 11.95

Cash Flow

NIFTY 50 TRI
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
23-06-2023 27291.39 0.1099 3000.0 2999.32
24-07-2023 28784.26 0.2141 6000.0 6162.71
23-08-2023 28522.76 0.3193 9000.0 9107.32
25-09-2023 28860.9 0.4232 12000.0 12213.93
23-10-2023 28291.96 0.5292 15000.0 14972.11
23-11-2023 29098.74 0.6323 18000.0 18399.13
26-12-2023 31507.69 0.7275 21000.0 22921.84
23-01-2024 31223.3 0.8236 24000.0 25715.51
23-02-2024 32698.69 0.9153 27000.0 29929.11
26-03-2024 32392.94 1.0079 30000.0 32648.84
23-04-2024 32927.73 1.099 33000.0 36187.58
23-05-2024 33895.66 1.1875 36000.0 40251.1
24-06-2024 34834.33 1.2822 39300.0 44664.58
23-07-2024 36257.51 1.3732 42600.0 49788.81
23-08-2024 36849.02 1.4628 45900.0 53902.75
23-09-2024 38505.51 1.5485 49200.0 59625.78
23-10-2024 36281.1 1.6395 52500.0 59482.86
25-11-2024 36013.85 1.7311 55800.0 62343.58
23-12-2024 35317.36 1.8245 59100.0 64436.52
23-01-2025 34534.46 1.9201 62400.0 66309.62
24-02-2025 33612.18 2.0183 65700.0 67839.46
24-03-2025 35261.27 2.1119 69000.0 74468.28
23-04-2025 36260.74 2.2029 72300.0 79878.78