STP Calculator Profit Transfer

STP Calculator Profit Transfer

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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 02-04-2025 Current Value as on 30-04-2025 Profit Returns (%)
1,000,000 30-04-2022 to 30-04-2025 34 370.96 227,619 1,000,000 1,005,024 232,644 5.85

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 02-04-2025 Current Value as on 30-04-2025 Profit Returns (%)
30-04-2022 to 30-04-2025 34 2,583.04 227,619 268,905 278,573 50,954 12.63

STP - Total Returns:

Total Investment Amount Total Current Value Total Profit Total Returns (%)
1,000,000 1,283,598 283,598 6.44

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
30-04-2021 2149.4789 465.229 465.229 1,000,000 1,000,000 0 0 1,000,000
01-05-2022 2222.9367 15.3737 449.8554 1,034,175 -34,175 1,129.32 366 1,000,000
30-05-2022 2229.9132 1.4074 448.4479 1,003,138 -3,138 113.2 395 1,000,000
30-06-2022 2238.6524 1.7506 446.6973 1,003,919 -3,919 156.11 426 1,000,000
31-07-2022 2247.2418 1.7074 444.9899 1,003,837 -3,837 166.92 457 1,000,000
30-08-2022 2257.2601 1.975 443.015 1,004,458 -4,458 212.87 487 1,000,000
30-09-2022 2267.0239 1.908 441.107 1,004,326 -4,326 224.28 518 1,000,000
30-10-2022 2277.9677 2.1192 438.9878 1,004,827 -4,827 272.29 548 1,000,000
30-11-2022 2290.5521 2.4118 436.576 1,005,524 -5,524 340.24 579 1,000,000
30-12-2022 2302.9578 2.3518 434.2242 1,005,416 -5,416 360.95 609 1,000,000
30-01-2023 2315.2036 2.2967 431.9275 1,005,317 -5,317 380.63 640 1,000,000
28-02-2023 2326.7977 2.1522 429.7752 1,005,008 -5,008 381.63 669 1,000,000
02-04-2023 2342.5977 2.8987 426.8765 1,006,790 -6,790 559.79 702 1,000,000
30-05-2023 2368.4359 4.657 422.2196 1,011,030 -11,030 1,019.67 760 1,000,000
30-06-2023 2381.7384 2.3582 419.8614 1,005,617 -5,617 547.71 791 1,000,000
30-07-2023 2395.0275 2.3297 417.5317 1,005,580 -5,580 572.04 821 1,000,000
30-08-2023 2408.4515 2.3272 415.2045 1,005,605 -5,605 602.68 852 1,000,000
30-09-2023 2422.4735 2.4033 412.8012 1,005,822 -5,822 656.1 883 1,000,000
30-10-2023 2435.7403 2.2484 410.5528 1,005,477 -5,477 643.63 913 1,000,000
30-11-2023 2449.9722 2.3849 408.1679 1,005,843 -5,843 716.65 944 1,000,000
30-12-2023 2464.4112 2.3915 405.7764 1,005,894 -5,894 753.15 974 1,000,000
30-01-2024 2479.2185 2.4235 403.3529 1,006,008 -6,008 799.13 1,005 1,000,000
29-02-2024 2494.1805 2.4196 400.9333 1,006,035 -6,035 834.05 1,035 1,000,000
01-04-2024 2510.7723 2.6495 398.2838 1,006,652 -6,652 957.23 1,067 1,000,000
30-05-2024 2540.2566 4.6228 393.661 1,011,743 -11,743 1,806.49 1,126 1,000,000
30-06-2024 2555.2168 2.3048 391.3562 1,005,889 -5,889 935.14 1,157 1,000,000
30-07-2024 2570.2289 2.2858 389.0704 1,005,875 -5,875 961.76 1,187 1,000,000
30-08-2024 2585.0548 2.2314 386.839 1,005,768 -5,768 971.95 1,218 1,000,000
30-09-2024 2600.6701 2.3227 384.5163 1,006,041 -6,041 1,047.99 1,249 1,000,000
30-10-2024 2615.3818 2.1629 382.3534 1,005,657 -5,657 1,007.72 1,279 1,000,000
30-11-2024 2630.5931 2.2109 380.1424 1,005,816 -5,816 1,063.72 1,310 1,000,000
30-12-2024 2644.7024 2.028 378.1144 1,005,364 -5,364 1,004.33 1,340 1,000,000
30-01-2025 2661.1109 2.3315 375.7829 1,006,204 -6,204 1,192.85 1,371 1,000,000
28-02-2025 2675.8762 2.0735 373.7094 1,005,549 -5,549 1,091.51 1,400 1,000,000
02-04-2025 2695.7205 2.751 370.9583 1,007,416 -7,416 1,502.73 1,433 1,000,000

Mirae Asset Large Cap Fund - Growth Plan

Nav Date Nav Units Cumulative Units Cash Flow Amount Current Value
02-05-2022 75.91 450.2003 450.2003 34,175 34,175 34,175
30-05-2022 74.461 42.1485 492.3487 3,138 37,313 36,661
30-06-2022 70.991 55.2053 547.554 3,919 41,232 38,871
01-08-2022 77.351 49.6033 597.1572 3,837 45,069 46,191
30-08-2022 78.925 56.4845 653.6418 4,458 49,527 51,589
30-09-2022 77.051 56.1383 709.78 4,326 53,853 54,689
31-10-2022 80.206 60.1873 769.9674 4,827 58,680 61,756
30-11-2022 82.889 66.6481 836.6155 5,524 64,204 69,346
30-12-2022 80.087 67.6268 904.2424 5,416 69,620 72,418
30-01-2023 77.874 68.2824 972.5248 5,317 74,938 75,734
28-02-2023 76.815 65.1931 1,037.7179 5,008 79,946 79,712
03-04-2023 76.955 88.2392 1,125.9571 6,790 86,736 86,648
30-05-2023 81.806 134.8278 1,260.7849 11,030 97,766 103,140
30-06-2023 84.872 66.177 1,326.9619 5,617 103,382 112,622
31-07-2023 87.249 63.9501 1,390.912 5,580 108,962 121,356
30-08-2023 86.665 64.6737 1,455.5857 5,605 114,567 126,148
03-10-2023 87.479 66.5531 1,522.1388 5,822 120,389 133,155
30-10-2023 85.127 64.3339 1,586.4726 5,477 125,865 135,052
30-11-2023 89.555 65.2442 1,651.7169 5,843 131,708 147,920
01-01-2024 94.832 62.1471 1,713.864 5,894 137,602 162,529
30-01-2024 94.112 63.8436 1,777.7076 6,008 143,610 167,304
29-02-2024 95.468 63.2145 1,840.9222 6,035 149,645 175,749
01-04-2024 97.174 68.4566 1,909.3788 6,652 156,298 185,542
30-05-2024 98.801 118.8563 2,028.2351 11,743 168,041 200,392
01-07-2024 107.034 55.0222 2,083.2573 5,889 173,930 222,979
30-07-2024 110.708 53.0682 2,136.3256 5,875 179,805 236,508
30-08-2024 112.643 51.2089 2,187.5344 5,768 185,573 246,410
30-09-2024 115.424 52.3341 2,239.8685 6,041 191,614 258,535
30-10-2024 108.639 52.0705 2,291.939 5,657 197,271 248,994
02-12-2024 109.463 53.1329 2,345.0719 5,816 203,087 256,699
30-12-2024 106.96 50.1453 2,395.2173 5,364 208,450 256,192
30-01-2025 103.311 60.0545 2,455.2717 6,204 214,655 253,657
28-02-2025 98.144 56.5348 2,511.8065 5,549 220,203 246,519
02-04-2025 104.104 71.2365 2,583.043 7,416 227,619 268,905

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.