Motilal Oswal Midcap Fund 728x90

Mutual Fund Benchmark Returns

Summary

Benchmark Name SIP Investment Cost SIP Value as on 23-01-2025 Growth Amount Enhanced Growth Amount Enhanced Growth (%) CAGR Returns (%)
NIFTY 50 TRI 75600.00 83687.36 8087.36 3563.96 4.45% 11.24

Cash Flow

NIFTY 50 TRI
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
23-02-2023 25485.97 0.1177 3000.0 2999.7
23-03-2023 24854.39 0.2384 6000.0 5925.29
24-04-2023 25828.46 0.3546 9000.0 9158.77
23-05-2023 26771.1 0.4667 12000.0 12494.07
23-06-2023 27291.39 0.5766 15000.0 15736.22
24-07-2023 28784.26 0.6808 18000.0 19596.32
23-08-2023 28522.76 0.786 21000.0 22418.89
25-09-2023 28860.9 0.8899 24000.0 25683.31
23-10-2023 28291.96 0.9959 27000.0 28175.96
23-11-2023 29098.74 1.099 30000.0 31979.52
26-12-2023 31507.69 1.1942 33000.0 37626.48
23-01-2024 31223.3 1.2903 36000.0 40287.42
23-02-2024 32698.69 1.3912 39300.0 45490.42
26-03-2024 32392.94 1.4931 42600.0 48365.9
23-04-2024 32927.73 1.5933 45900.0 52463.75
23-05-2024 33895.66 1.6907 49200.0 57307.39
24-06-2024 34834.33 1.7854 52500.0 62193.21
23-07-2024 36257.51 1.8764 55800.0 68033.59
23-08-2024 36849.02 1.966 59100.0 72445.17
23-09-2024 38505.51 2.0517 62400.0 79001.75
23-10-2024 36281.1 2.1427 65700.0 77739.51
25-11-2024 36013.85 2.2343 69000.0 80465.75
23-12-2024 35317.36 2.3277 72300.0 82208.22
23-01-2025 34534.46 2.4233 75600.0 83687.36

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