STP Calculator Profit Transfer

STP Calculator Profit Transfer

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STP - Transferor Scheme : Mirae Asset Banking and Financial Services Fund Regular Growth

Initial Investment Amount STP Period No of Monthly Installments Total No. Units Remaining Total Amount Transferred Value as on 25-11-2025 Current Value as on 24-12-2025 Profit Returns (%)
1,000,000 25-12-2022 to 25-12-2025 22 45,930.55 998,449 1,000,000 1,004,777 1,003,226 16.74

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 25-11-2025 Current Value as on 24-12-2025 Profit Returns (%)
25-12-2022 to 25-12-2025 22 6,723.27 998,449 785,131 793,272 -205,177 12.48

STP - Total Returns:

Total Investment Amount Total Current Value Total Profit Total Returns (%)
1,000,000 1,798,049 798,049 15.82

Mirae Asset Banking and Financial Services Fund Regular Growth

Nav Date Nav Units Cumulative Units Net Amount Profit Transfer Capital Gain/Loss
(Profit Transfer)
No. of Days
(Invested)
Current Value
27-12-2021 11.942 83,738.0673 83,738.0673 1,000,000 1,000,000 0 0 1,000,000
26-12-2022 13.55 9,937.3293 73,800.738 1,134,651 -134,651 15,979.23 364 1,000,000
25-01-2023 13.306 -1,353.3278 75,154.0658 981,993 18,007 -1,845.94 394 1,000,000
27-02-2023 12.878 -2,497.7435 77,651.8093 967,834 32,166 -2,337.89 427 1,000,000
27-03-2023 12.546 -2,054.8701 79,706.6794 974,220 25,780 -1,241.14 455 1,000,000
25-04-2023 13.463 5,429.0296 74,277.6499 1,073,091 -73,091 8,257.55 484 1,000,000
25-05-2023 13.949 2,587.923 71,689.7269 1,036,099 -36,099 5,193.96 514 1,000,000
26-06-2023 14.365 2,076.0826 69,613.6443 1,029,823 -29,823 5,030.35 546 1,000,000
25-07-2023 15.458 4,922.2224 64,691.4219 1,076,088 -76,088 17,306.53 575 1,000,000
25-08-2023 15.158 -1,280.3422 65,971.7641 980,593 19,407 -4,117.58 606 1,000,000
25-09-2023 15.345 803.957 65,167.8071 1,012,337 -12,337 2,735.87 637 1,000,000
25-10-2023 14.838 -2,226.7205 67,394.5276 966,960 33,040 -6,448.58 667 1,000,000
28-11-2023 15.336 2,188.4764 65,206.0511 1,033,562 -33,562 7,427.69 701 1,000,000
26-12-2023 16.323 3,942.8029 61,263.2482 1,064,358 -64,358 17,273.42 729 1,000,000
25-01-2024 15.922 -1,542.932 62,806.1801 975,433 24,567 -6,140.87 759 1,000,000
26-02-2024 16.708 2,954.612 59,851.5681 1,049,366 -49,366 14,081.68 791 1,000,000
26-03-2024 16.161 -2,025.791 61,877.3591 967,261 32,739 -8,546.81 820 1,000,000
25-04-2024 17.19 3,704.0025 58,173.3566 1,063,672 -63,672 19,438.6 850 1,000,000
27-05-2024 17.299 366.547 57,806.8096 1,006,341 -6,341 1,963.59 882 1,000,000
25-06-2024 18.65 4,187.5067 53,619.3029 1,078,097 -78,097 28,089.79 911 1,000,000
25-07-2024 18.477 -502.0371 54,121.34 990,724 9,276 -3,280.81 941 1,000,000
26-08-2024 18.555 227.5109 53,893.8292 1,004,221 -4,221 1,504.53 973 1,000,000
25-09-2024 19.634 2,961.7725 50,932.0566 1,058,151 -58,151 22,781.95 1,003 1,000,000
25-10-2024 18.432 -3,321.4156 54,253.4722 938,780 61,220 -21,555.99 1,033 1,000,000
25-11-2024 18.77 976.9672 53,276.5051 1,018,338 -18,338 6,670.73 1,064 1,000,000
26-12-2024 18.595 -501.3922 53,777.8973 990,677 9,323 -3,335.76 1,095 1,000,000
27-01-2025 17.25 -4,193.1172 57,971.0145 927,669 72,331 -22,257.07 1,127 1,000,000
25-02-2025 17.282 107.3413 57,863.6732 1,001,855 -1,855 573.2 1,156 1,000,000
25-03-2025 18.762 4,564.4514 53,299.2218 1,085,638 -85,638 31,129.56 1,184 1,000,000
25-04-2025 19.666 2,450.0405 50,849.1813 1,048,182 -48,182 18,924.11 1,215 1,000,000
26-05-2025 20.19 1,319.7113 49,529.47 1,026,645 -26,645 10,884.98 1,246 1,000,000
25-06-2025 20.723 1,273.9086 48,255.5615 1,026,399 -26,399 11,186.19 1,276 1,000,000
25-07-2025 20.662 -142.4639 48,398.0254 997,056 2,944 -1,242.29 1,306 1,000,000
25-08-2025 20.346 -751.6847 49,149.71 984,706 15,294 -6,317.16 1,337 1,000,000
25-09-2025 20.304 -101.669 49,251.379 997,936 2,064 -850.16 1,368 1,000,000
27-10-2025 21.49 2,718.1077 46,533.2713 1,058,412 -58,412 25,952.49 1,400 1,000,000
25-11-2025 21.772 602.7183 45,930.553 1,013,122 -13,122 5,924.72 1,429 1,000,000

Mirae Asset Large Cap Fund - Growth Plan

Nav Date Nav Units Cumulative Units Cash Flow Amount Current Value
26-12-2022 79.626 1,691.0408 1,691.0408 134,651 134,651 134,651
25-01-2023 79.025 -227.8694 1,463.1714 -18,007 116,643 115,627
27-02-2023 77.174 -416.7976 1,046.3737 -32,166 84,477 80,753
27-03-2023 75.129 -343.1485 703.2253 -25,780 58,697 52,833
25-04-2023 77.921 938.0145 1,641.2397 73,091 131,788 127,887
25-05-2023 80.59 447.9332 2,089.1729 36,099 167,887 168,366
26-06-2023 82.727 360.4981 2,449.6711 29,823 197,710 202,654
25-07-2023 86.64 878.2054 3,327.8764 76,088 273,798 288,327
25-08-2023 86.222 -225.0867 3,102.7897 -19,407 254,390 267,529
25-09-2023 87.567 140.8832 3,243.6729 12,337 266,727 284,039
25-10-2023 84.689 -390.1342 2,853.5387 -33,040 233,687 241,663
28-11-2023 88.337 379.9368 3,233.4755 33,562 267,249 285,636
26-12-2023 93.826 685.9332 3,919.4087 64,358 331,608 367,742
25-01-2024 93.445 -262.8986 3,656.5101 -24,567 307,041 341,683
26-02-2024 95.798 515.3099 4,171.82 49,366 356,407 399,652
26-03-2024 95.263 -343.6676 3,828.1524 -32,739 323,668 364,681
25-04-2024 98.536 646.1781 4,474.3304 63,672 387,340 440,883
27-05-2024 100.527 63.0765 4,537.407 6,341 393,681 456,132
25-06-2024 105.379 741.1059 5,278.5129 78,097 471,778 556,244
25-07-2024 108.599 -85.4164 5,193.0964 -9,276 462,502 563,965
26-08-2024 111.435 37.8828 5,230.9792 4,221 466,723 582,914
25-09-2024 116.385 499.6472 5,730.6264 58,151 524,875 666,959
25-10-2024 107.785 -567.9856 5,162.6408 -61,220 463,654 556,455
25-11-2024 108.732 168.6502 5,331.291 18,338 481,992 579,682
26-12-2024 107.451 -86.7687 5,244.5222 -9,323 472,668 563,529
27-01-2025 101.604 -711.8939 4,532.6283 -72,331 400,337 460,533
25-02-2025 100.244 18.5056 4,551.1339 1,855 402,192 456,224
25-03-2025 105.193 814.1058 5,365.2397 85,638 487,830 564,386
25-04-2025 106.786 451.2061 5,816.4458 48,182 536,013 621,115
26-05-2025 111.413 239.155 6,055.6008 26,645 562,658 674,673
25-06-2025 112.712 234.2183 6,289.819 26,399 589,057 708,938
25-07-2025 112.328 -26.2053 6,263.6137 -2,944 586,114 703,579
25-08-2025 113.483 -134.7671 6,128.8466 -15,294 570,820 695,520
25-09-2025 112.837 -18.2944 6,110.5522 -2,064 568,756 689,496
27-10-2025 116.742 500.3524 6,610.9046 58,412 627,168 771,770
25-11-2025 116.778 112.3703 6,723.2749 13,122 640,290 785,131

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.