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 19-10-2025 Current Value as on 19-10-2025 Profit Returns (%)
1,000,000 19-10-2022 to 19-10-2025 37 359.01 245,376 1,000,000 1,000,000 245,376 6.21

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 20-10-2025 Current Value as on 17-10-2025 Profit Returns (%)
19-10-2022 to 19-10-2025 37 2,663.77 245,376 308,874 307,945 62,568 13.55

STP - Total Returns:

Total Investment Amount Total Current Value Total Profit Total Returns (%)
1,000,000 1,307,945 307,945 6.95

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
19-10-2021 2182.4677 458.1969 458.1969 1,000,000 1,000,000 0 0 1,000,000
19-10-2022 2273.9542 18.4343 439.7626 1,041,919 -41,919 1,686.49 365 1,000,000
20-11-2022 2286.4887 2.4108 437.3518 1,005,512 -5,512 250.77 397 1,000,000
19-12-2022 2297.9504 2.1814 435.1704 1,005,013 -5,013 251.92 426 1,000,000
19-01-2023 2310.8999 2.4385 432.7319 1,005,635 -5,635 313.19 457 1,000,000
19-02-2023 2323.4033 2.3287 430.4031 1,005,411 -5,411 328.2 488 1,000,000
19-03-2023 2335.2217 2.1782 428.2249 1,005,087 -5,087 332.74 516 1,000,000
19-04-2023 2350.515 2.7862 425.4387 1,006,549 -6,549 468.21 547 1,000,000
19-05-2023 2363.6771 2.369 423.0696 1,005,600 -5,600 429.29 577 1,000,000
19-06-2023 2377.0328 2.3771 420.6926 1,005,650 -5,650 462.5 608 1,000,000
19-07-2023 2390.3463 2.3431 418.3494 1,005,601 -5,601 487.09 638 1,000,000
20-08-2023 2403.9738 2.3715 415.9779 1,005,701 -5,701 525.3 670 1,000,000
19-09-2023 2417.3435 2.3007 413.6772 1,005,561 -5,561 540.37 700 1,000,000
19-10-2023 2430.8922 2.3057 411.3716 1,005,605 -5,605 572.78 730 1,000,000
19-11-2023 2444.9584 2.3667 409.0049 1,005,786 -5,786 621.23 761 1,000,000
19-12-2023 2458.6043 2.2701 406.7348 1,005,581 -5,581 626.85 791 1,000,000
19-01-2024 2474.255 2.5728 404.1621 1,006,366 -6,366 750.7 822 1,000,000
19-02-2024 2489.0549 2.4031 401.7589 1,005,982 -5,982 736.77 853 1,000,000
19-03-2024 2503.5831 2.3314 399.4275 1,005,837 -5,837 748.65 882 1,000,000
19-04-2024 2520.9601 2.7533 396.6743 1,006,941 -6,941 931.96 913 1,000,000
19-05-2024 2534.7235 2.1539 394.5203 1,005,460 -5,460 758.73 943 1,000,000
19-06-2024 2549.9589 2.3572 392.1632 1,006,011 -6,011 866.24 974 1,000,000
19-07-2024 2564.9599 2.2935 389.8696 1,005,883 -5,883 877.26 1,004 1,000,000
19-08-2024 2579.7984 2.2425 387.6272 1,005,785 -5,785 891 1,035 1,000,000
19-09-2024 2594.7919 2.2398 385.3874 1,005,812 -5,812 923.54 1,066 1,000,000
19-10-2024 2610.1428 2.2666 383.1208 1,005,916 -5,916 969.35 1,096 1,000,000
19-11-2024 2625.3716 2.2223 380.8985 1,005,834 -5,834 984.28 1,127 1,000,000
19-12-2024 2639.6812 2.0648 378.8336 1,005,451 -5,451 944.07 1,157 1,000,000
19-01-2025 2655.6374 2.2762 376.5574 1,006,045 -6,045 1,077.03 1,188 1,000,000
19-02-2025 2671.5079 2.237 374.3204 1,005,976 -5,976 1,093.98 1,219 1,000,000
19-03-2025 2684.8534 1.8606 372.4598 1,004,995 -4,995 934.75 1,247 1,000,000
20-04-2025 2705.0437 2.78 369.6798 1,007,520 -7,520 1,452.77 1,279 1,000,000
19-05-2025 2718.2368 1.7943 367.8855 1,004,877 -4,877 961.31 1,308 1,000,000
19-06-2025 2733.4546 2.0481 365.8374 1,005,598 -5,598 1,128.48 1,339 1,000,000
20-07-2025 2747.0948 1.8165 364.0209 1,004,990 -4,990 1,025.64 1,370 1,000,000
19-08-2025 2759.3986 1.6231 362.3978 1,004,479 -4,479 936.43 1,400 1,000,000
19-09-2025 2772.3351 1.6911 360.7068 1,004,688 -4,688 997.5 1,431 1,000,000
19-10-2025 2785.4202 1.6945 359.0123 1,004,720 -4,720 1,021.7 1,461 1,000,000

Mirae Asset Large Cap Fund - Growth Plan

Nav Date Nav Units Cumulative Units Cash Flow Amount Current Value
19-10-2022 78.339 535.0953 535.0953 41,919 41,919 41,919
21-11-2022 80.43 68.5342 603.6295 5,512 47,431 48,550
19-12-2022 81.475 61.5256 665.1551 5,013 52,444 54,194
19-01-2023 80.044 70.4018 735.5568 5,635 58,079 58,877
20-02-2023 78.838 68.6296 804.1864 5,411 63,490 63,400
20-03-2023 75.06 67.7681 871.9546 5,087 68,576 65,449
19-04-2023 77.667 84.3212 956.2757 6,549 75,125 74,271
19-05-2023 80.379 69.6658 1,025.9415 5,600 80,725 82,464
19-06-2023 83.067 68.0221 1,093.9636 5,650 86,375 90,872
19-07-2023 87.268 64.1803 1,158.144 5,601 91,976 101,069
21-08-2023 86.326 66.041 1,224.185 5,701 97,677 105,679
20-09-2023 88.856 62.59 1,286.775 5,561 103,239 114,338
19-10-2023 87.152 64.3105 1,351.0855 5,605 108,844 117,750
20-11-2023 87.624 66.0371 1,417.1226 5,786 114,630 124,174
19-12-2023 94.019 59.3629 1,476.4855 5,581 120,211 138,818
19-01-2024 94.686 67.2294 1,543.7149 6,366 126,577 146,168
19-02-2024 95.672 62.5215 1,606.2364 5,982 132,559 153,672
19-03-2024 94.327 61.8787 1,668.1152 5,837 138,395 157,348
19-04-2024 96.492 71.9319 1,740.047 6,941 145,336 167,901
21-05-2024 98.899 55.2037 1,795.2507 5,460 150,796 177,548
19-06-2024 104.159 57.7067 1,852.9574 6,011 156,806 193,002
19-07-2024 109.11 53.9166 1,906.874 5,883 162,689 208,059
19-08-2024 109.612 52.7778 1,959.6518 5,785 168,474 214,801
19-09-2024 114.236 50.8762 2,010.528 5,812 174,286 229,675
21-10-2024 110.57 53.505 2,064.0329 5,916 180,202 228,220
19-11-2024 105.962 55.0619 2,119.0949 5,834 186,037 224,544
19-12-2024 108.814 50.0901 2,169.185 5,451 191,487 236,038
20-01-2025 104.919 57.6134 2,226.7984 6,045 197,532 233,633
19-02-2025 101.856 58.6726 2,285.471 5,976 203,508 232,789
19-03-2025 102.331 48.817 2,334.288 4,995 208,504 238,870
21-04-2025 107.596 69.8918 2,404.1798 7,520 216,024 258,680
19-05-2025 111.11 43.8954 2,448.0752 4,877 220,901 272,006
19-06-2025 110.543 50.6446 2,498.7198 5,598 226,499 276,216
21-07-2025 113.427 43.9939 2,542.7137 4,990 231,490 288,412
19-08-2025 113.094 39.6028 2,582.3165 4,479 235,968 292,045
19-09-2025 115.058 40.7461 2,623.0626 4,688 240,657 301,804
20-10-2025 115.954 40.7048 2,663.7674 4,720 245,376 308,874

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.