HSBC MF Retire With An SIP 728x90

Mutual Fund Benchmark Returns

Summary

Benchmark Name SIP Investment Cost SIP Value as on 04-07-2025 Growth Amount Enhanced Growth Amount Enhanced Growth (%) CAGR Returns (%)
NIFTY 50 TRI 75600.00 86172.53 10572.53 3825.74 4.65% 14.69

Cash Flow

NIFTY 50 TRI
Nav Date Nav Cumulative Units Cumulative Invested Amount Market Value
04-08-2023 28582.25 0.105 3000.0 3001.14
04-09-2023 28647.16 0.2097 6000.0 6007.31
04-10-2023 28511.13 0.3149 9000.0 8978.15
06-11-2023 28519.25 0.4201 12000.0 11980.94
04-12-2023 30398.91 0.5188 15000.0 15770.95
04-01-2024 31826.97 0.6131 18000.0 19513.12
05-02-2024 32007.18 0.7068 21000.0 22622.67
04-03-2024 32982.68 0.7978 24000.0 26313.58
04-04-2024 33143.59 0.8883 27000.0 29441.45
06-05-2024 33037.73 0.9791 30000.0 32347.24
04-06-2024 32353.5 1.0718 33000.0 34676.48
04-07-2024 35970.64 1.1552 36000.0 41553.28
05-08-2024 35646.37 1.2478 39300.0 44479.54
04-09-2024 37406.55 1.336 42600.0 49975.15
04-10-2024 37133.25 1.4249 45900.0 52911.17
04-11-2024 35659.07 1.5174 49200.0 54109.07
04-12-2024 36378.91 1.6081 52500.0 58500.93
06-01-2025 35113.04 1.7021 55800.0 59765.91
04-02-2025 35341.64 1.7955 59100.0 63455.91
04-03-2025 32910.63 1.8958 62400.0 62391.97
04-04-2025 34137.61 1.9925 65700.0 68019.19
05-05-2025 36464.1 2.083 69000.0 75954.72
04-06-2025 36805.09 2.1727 72300.0 79966.42
04-07-2025 38142.94 2.2592 75600.0 86172.53

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