STP CALCULATOR PROFIT TRANSFER

STP - Transferor Scheme : Mirae Asset Liquid Fund - Regular Plan - Growth

Initial Investment Amount STP Period No of Monthly Installments Total No. Units Remaining Total Amount Transferred Value as on 27-04-2025 Current Value as on 27-04-2025 Profit Returns (%)
1,000,000 27-04-2022 to 27-04-2025 37 369.26 232,404 1,000,000 1,000,000 232,404 5.84

STP - Transferee Scheme : Mirae Asset Large Cap Fund - Growth Plan

STP Period No of Monthly Installments Total No. Units Accumulated Total Amount Invested Value as on 25-04-2025 Current Value as on 25-04-2025 Profit Returns (%)
27-04-2022 to 27-04-2025 37 318.97 232,404 34,061 34,061 -198,343 0

STP - Total Returns:

Total Investment Amount Total Current Value Total Profit Total Returns (%)
1,000,000 1,034,061 34,061 0.84

Mirae Asset Liquid Fund - Regular Plan - Growth

Nav Date Nav Units Cumulative Units Net Amount Profit Transfer Capital Gain/Loss
(Profit Transfer)
No. of Days
(Invested)
Current Value
27-04-2021 2148.9592 465.3415 465.3415 1,000,000 1,000,000 0 0 1,000,000
27-04-2022 2222.1559 15.3281 450.0134 1,034,061 -34,061 1,121.97 365 1,000,000
27-05-2022 2229.065 1.3948 448.6186 1,003,109 -3,109 111.73 395 1,000,000
27-06-2022 2237.609 1.713 446.9056 1,003,833 -3,833 151.86 426 1,000,000
27-07-2022 2245.9596 1.6616 445.244 1,003,732 -3,732 161.18 456 1,000,000
28-08-2022 2256.6349 2.1063 443.1377 1,004,753 -4,753 226.8 488 1,000,000
27-09-2022 2265.4305 1.7205 441.4172 1,003,898 -3,898 200.39 518 1,000,000
27-10-2022 2276.8229 2.2087 439.2085 1,005,029 -5,029 282.41 548 1,000,000
27-11-2022 2289.2207 2.3786 436.8299 1,005,445 -5,445 333.63 579 1,000,000
27-12-2022 2301.3069 2.2942 434.5357 1,005,280 -5,280 349.51 609 1,000,000
27-01-2023 2314.0191 2.3871 432.1486 1,005,524 -5,524 394.02 640 1,000,000
27-02-2023 2326.4543 2.3099 429.8387 1,005,374 -5,374 409.99 671 1,000,000
27-03-2023 2338.6778 2.2466 427.592 1,005,254 -5,254 426.23 699 1,000,000
27-04-2023 2353.6185 2.7143 424.8777 1,006,389 -6,389 555.52 730 1,000,000
28-05-2023 2367.6608 2.5199 422.3578 1,005,966 -5,966 551.11 761 1,000,000
27-06-2023 2380.4054 2.2613 420.0965 1,005,383 -5,383 523.37 791 1,000,000
27-07-2023 2393.7841 2.3479 417.7486 1,005,620 -5,620 574.82 821 1,000,000
27-08-2023 2407.1071 2.3122 415.4364 1,005,566 -5,566 596.88 852 1,000,000
27-09-2023 2420.9195 2.3702 413.0662 1,005,738 -5,738 644.61 883 1,000,000
27-10-2023 2434.3445 2.278 410.7882 1,005,545 -5,545 650.11 913 1,000,000
27-11-2023 2448.6185 2.3947 408.3935 1,005,864 -5,864 717.58 944 1,000,000
27-12-2023 2462.3624 2.2795 406.1141 1,005,613 -5,613 714.4 974 1,000,000
27-01-2024 2477.796 2.5296 403.5845 1,006,268 -6,268 831.82 1,005 1,000,000
27-02-2024 2493.1595 2.487 401.0975 1,006,200 -6,200 856.02 1,036 1,000,000
27-03-2024 2506.9341 2.2039 398.8936 1,005,525 -5,525 788.93 1,065 1,000,000
27-04-2024 2524.2777 2.7407 396.1529 1,006,918 -6,918 1,028.63 1,096 1,000,000
27-05-2024 2538.8224 2.2695 393.8834 1,005,762 -5,762 884.8 1,126 1,000,000
27-06-2024 2553.587 2.2774 391.606 1,005,816 -5,816 921.5 1,157 1,000,000
27-07-2024 2568.7643 2.3138 389.2922 1,005,944 -5,944 971.33 1,187 1,000,000
27-08-2024 2583.6809 2.2475 387.0447 1,005,807 -5,807 977.05 1,218 1,000,000
27-09-2024 2598.8721 2.2624 384.7823 1,005,880 -5,880 1,017.88 1,249 1,000,000
27-10-2024 2613.9391 2.2179 382.5644 1,005,798 -5,798 1,031.29 1,279 1,000,000
27-11-2024 2629.15 2.2133 380.3511 1,005,819 -5,819 1,062.82 1,310 1,000,000
27-12-2024 2643.1176 2.01 378.3411 1,005,313 -5,313 993.24 1,340 1,000,000
27-01-2025 2659.5365 2.3357 376.0054 1,006,212 -6,212 1,192.57 1,371 1,000,000
27-02-2025 2675.4139 2.2314 373.7739 1,005,970 -5,970 1,174.74 1,402 1,000,000
27-03-2025 2689.3046 1.9306 371.8433 1,005,192 -5,192 1,043.19 1,430 1,000,000
27-04-2025 2708.1472 2.5872 369.2561 1,007,006 -7,006 1,446.73 1,461 1,000,000

Mirae Asset Large Cap Fund - Growth Plan

Nav Date Nav Units Cumulative Units Cash Flow Amount Current Value
27-04-2022 76.18 447.1182 447.1182 34,061 34,061 34,061
27-05-2022 73.041 42.5677 489.6859 3,109 37,171 35,767
27-06-2022 71.389 53.6917 543.3776 3,833 41,004 38,791
27-07-2022 74.795 49.8954 593.2731 3,732 44,736 44,374
29-08-2022 77.169 61.5936 654.8666 4,753 49,489 50,535
27-09-2022 76.255 51.1135 705.9802 3,898 53,386 53,835
27-10-2022 79.542 63.222 769.2021 5,029 58,415 61,184
28-11-2022 82.144 66.2887 835.4908 5,445 63,860 68,631
27-12-2022 80.07 65.9375 901.4283 5,280 69,140 72,177
27-01-2023 77.688 71.1037 972.532 5,524 74,664 75,554
27-02-2023 77.174 69.633 1,042.165 5,374 80,038 80,428
27-03-2023 75.129 69.9348 1,112.0998 5,254 85,292 83,551
27-04-2023 78.527 81.3545 1,193.4543 6,389 91,680 93,718
29-05-2023 81.73 72.9996 1,266.4539 5,966 97,647 103,507
27-06-2023 83.349 64.5812 1,331.0351 5,383 103,029 110,940
27-07-2023 86.793 64.7557 1,395.7909 5,620 108,650 121,145
28-08-2023 86.445 64.3839 1,460.1748 5,566 114,215 126,225
27-09-2023 87.853 65.3156 1,525.4904 5,738 119,954 134,019
27-10-2023 84.89 65.3247 1,590.8151 5,545 125,499 135,044
28-11-2023 88.337 66.3775 1,657.1926 5,864 131,363 146,391
27-12-2023 94.698 59.2718 1,716.4644 5,613 136,976 162,546
29-01-2024 94.727 66.167 1,782.6314 6,268 143,243 168,863
27-02-2024 96.016 64.5775 1,847.2089 6,200 149,444 177,362
27-03-2024 95.685 57.7411 1,904.95 5,525 154,969 182,275
29-04-2024 98.907 69.947 1,974.897 6,918 161,887 195,331
27-05-2024 100.527 57.3172 2,032.2142 5,762 167,649 204,292
27-06-2024 106.484 54.6141 2,086.8283 5,816 173,464 222,214
29-07-2024 110.497 53.789 2,140.6173 5,944 179,408 236,532
27-08-2024 111.867 51.9091 2,192.5264 5,807 185,215 245,271
27-09-2024 116.792 50.3431 2,242.8695 5,880 191,095 261,949
28-10-2024 108.363 53.5009 2,296.3704 5,798 196,892 248,842
27-11-2024 109.294 53.2431 2,349.6135 5,819 202,711 256,799
27-12-2024 107.545 49.3988 2,399.0123 5,313 208,024 258,002
27-01-2025 101.604 61.1388 2,460.1511 6,212 214,236 249,961
27-02-2025 100.063 59.6623 2,519.8133 5,970 220,206 252,140
27-03-2025 105.029 49.4338 2,569.2471 5,192 225,398 269,845
25-04-2025 106.786 318.9694 318.9694 34,061 34,061 34,061

Disclaimer : We have gathered all the data, information, statistics from the sources believed to be highly reliable and true. All necessary precautions have been taken to avoid any error, lapse or insufficiency; however, no representations or warranties are made (express or implied) as to the reliability, accuracy or completeness of such information. We cannot be held liable for any loss arising directly or indirectly from the use of, or any action taken in on, any information appearing herein. The user is advised to verify the contents of the report independently.

Returns less than 1 year are in absolute (%) and greater than 1 year are compounded annualised (CAGR %). SIP returns are shown in XIRR (%).

The Risk Level of any of the schemes must always be commensurate with the risk profile, investment objective or financial goals of the investor concerned. Mutual Fund Distributors (MFDs) or Registered Investment Advisors (RIAs) should assess the risk profile and investment needs of individual investors into consideration and make scheme(s) or asset allocation recommendations accordingly.

Mutual Fund investments are subject to market risks, read all scheme related documents carefully. Past performance may or may not be sustained in the future. Investors should always invest according to their risk profile and consult with their mutual fund distributors or financial advisor before investing.