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 10-11-2025 Current Value as on 10-11-2025 Profit Returns (%)
1,000,000 10-11-2022 to 10-11-2025 37 357.78 246,904 1,000,000 1,000,000 246,904 6.26

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 10-11-2025 Current Value as on 10-11-2025 Profit Returns (%)
10-11-2022 to 10-11-2025 37 2,657.93 246,904 307,230 307,230 60,326 12.87

STP - Total Returns:

Total Investment Amount Total Current Value Total Profit Total Returns (%)
1,000,000 1,307,230 307,230 6.92

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
10-11-2021 2186.795 457.2902 457.2902 1,000,000 1,000,000 0 0 1,000,000
10-11-2022 2282.5279 19.1795 438.1107 1,043,778 -43,778 1,836.11 365 1,000,000
11-12-2022 2294.8468 2.3518 435.7589 1,005,397 -5,397 254.12 396 1,000,000
10-01-2023 2307.6192 2.4119 433.3471 1,005,566 -5,566 291.41 426 1,000,000
10-02-2023 2319.7255 2.2616 431.0855 1,005,246 -5,246 300.63 457 1,000,000
10-03-2023 2331.2977 2.1398 428.9456 1,004,989 -4,989 309.21 485 1,000,000
10-04-2023 2346.6431 2.805 426.1406 1,006,582 -6,582 448.37 516 1,000,000
10-05-2023 2359.2772 2.282 423.8586 1,005,384 -5,384 393.61 546 1,000,000
11-06-2023 2373.628 2.5626 421.296 1,006,083 -6,083 478.78 578 1,000,000
10-07-2023 2386.325 2.2416 419.0544 1,005,349 -5,349 447.27 607 1,000,000
10-08-2023 2399.653 2.3275 416.7269 1,005,585 -5,585 495.42 638 1,000,000
10-09-2023 2413.3686 2.3683 414.3586 1,005,716 -5,716 536.6 669 1,000,000
10-10-2023 2426.8787 2.3067 412.0519 1,005,598 -5,598 553.8 699 1,000,000
10-11-2023 2440.7778 2.3464 409.7055 1,005,727 -5,727 595.96 730 1,000,000
10-12-2023 2454.6486 2.3152 407.3903 1,005,683 -5,683 620.13 760 1,000,000
10-01-2024 2470.2261 2.569 404.8212 1,006,346 -6,346 728.15 791 1,000,000
11-02-2024 2485.0122 2.4087 402.4125 1,005,986 -5,986 718.33 823 1,000,000
10-03-2024 2499.1397 2.2748 400.1377 1,005,685 -5,685 710.53 851 1,000,000
10-04-2024 2516.7633 2.802 397.3357 1,007,052 -7,052 924.56 882 1,000,000
10-05-2024 2530.2015 2.1103 395.2254 1,005,339 -5,339 724.69 912 1,000,000
10-06-2024 2545.6385 2.3967 392.8288 1,006,101 -6,101 860.04 943 1,000,000
10-07-2024 2560.4679 2.2751 390.5536 1,005,825 -5,825 850.16 973 1,000,000
11-08-2024 2575.9899 2.3533 388.2003 1,006,062 -6,062 915.91 1,005 1,000,000
10-09-2024 2590.304 2.1452 386.0551 1,005,557 -5,557 865.61 1,035 1,000,000
10-10-2024 2605.943 2.3168 383.7382 1,006,038 -6,038 971.09 1,065 1,000,000
10-11-2024 2620.9677 2.1998 381.5385 1,005,766 -5,766 955.08 1,096 1,000,000
10-12-2024 2635.5662 2.1134 379.4251 1,005,570 -5,570 948.41 1,126 1,000,000
10-01-2025 2650.8639 2.1896 377.2355 1,005,804 -5,804 1,016.13 1,157 1,000,000
10-02-2025 2666.9825 2.2799 374.9556 1,006,081 -6,081 1,094.79 1,188 1,000,000
10-03-2025 2680.5233 1.8941 373.0615 1,005,077 -5,077 935.17 1,216 1,000,000
10-04-2025 2700.4633 2.7547 370.3068 1,007,439 -7,439 1,414.98 1,247 1,000,000
10-05-2025 2713.5526 1.7862 368.5206 1,004,847 -4,847 940.92 1,277 1,000,000
10-06-2025 2730.0923 2.2326 366.288 1,006,095 -6,095 1,212.97 1,308 1,000,000
10-07-2025 2742.9903 1.7223 364.5656 1,004,724 -4,724 957.96 1,338 1,000,000
10-08-2025 2755.5206 1.6578 362.9078 1,004,568 -4,568 942.84 1,369 1,000,000
10-09-2025 2768.3427 1.6809 361.227 1,004,653 -4,653 977.51 1,400 1,000,000
10-10-2025 2781.5979 1.7214 359.5056 1,004,788 -4,788 1,023.87 1,430 1,000,000
10-11-2025 2795.0 1.7238 357.7818 1,004,818 -4,818 1,048.45 1,461 1,000,000

Mirae Asset Large Cap Fund - Growth Plan

Nav Date Nav Units Cumulative Units Cash Flow Amount Current Value
10-11-2022 79.846 548.2769 548.2769 43,778 43,778 43,778
12-12-2022 82.021 65.8007 614.0777 5,397 49,175 50,367
10-01-2023 79.6 69.9207 683.9984 5,566 54,740 54,446
10-02-2023 79.215 66.2277 750.2261 5,246 59,987 59,429
10-03-2023 77.131 64.6771 814.9032 4,989 64,975 62,854
10-04-2023 77.725 84.6876 899.5908 6,582 71,558 69,921
10-05-2023 80.476 66.9007 966.4915 5,384 76,942 77,779
12-06-2023 82.297 73.9117 1,040.4032 6,083 83,024 85,622
10-07-2023 84.796 63.0831 1,103.4863 5,349 88,373 93,571
10-08-2023 86.984 64.209 1,167.6953 5,585 93,959 101,571
11-09-2023 89.747 63.6864 1,231.3817 5,716 99,674 110,513
10-10-2023 87.818 63.7458 1,295.1274 5,598 105,272 113,736
10-11-2023 86.485 66.2213 1,361.3488 5,727 110,999 117,736
11-12-2023 92.665 61.3278 1,422.6766 5,683 116,682 131,832
10-01-2024 94.406 67.2216 1,489.8982 6,346 123,028 140,655
12-02-2024 93.366 64.1104 1,554.0085 5,986 129,014 145,092
11-03-2024 96.271 59.0529 1,613.0614 5,685 134,699 155,291
10-04-2024 98.81 71.3679 1,684.4294 7,052 141,751 166,438
10-05-2024 96.528 55.3153 1,739.7447 5,339 147,091 167,934
10-06-2024 102.462 59.545 1,799.2897 6,101 153,192 184,359
10-07-2024 108.376 53.7519 1,853.0416 5,825 159,017 200,825
12-08-2024 108.622 55.8098 1,908.8514 6,062 165,079 207,343
10-09-2024 112.717 49.2981 1,958.1495 5,557 170,636 220,717
10-10-2024 112.025 53.8944 2,012.0439 6,038 176,674 225,399
11-11-2024 108.544 53.1172 2,065.161 5,766 182,439 224,161
10-12-2024 111.942 49.7569 2,114.918 5,570 188,009 236,748
10-01-2025 104.867 55.3495 2,170.2674 5,804 193,813 227,589
10-02-2025 104.228 58.3385 2,228.6059 6,081 199,894 232,283
10-03-2025 99.917 50.8142 2,279.4201 5,077 204,971 227,753
11-04-2025 101.57 73.2386 2,352.6587 7,439 212,410 238,960
12-05-2025 110.408 43.9013 2,396.56 4,847 217,257 264,599
10-06-2025 112.754 54.0577 2,450.6177 6,095 223,352 276,317
10-07-2025 113.793 41.5173 2,492.1351 4,724 228,077 283,588
11-08-2025 111.058 41.1327 2,533.2678 4,568 232,645 281,340
10-09-2025 113.358 41.0491 2,574.3169 4,653 237,298 291,819
10-10-2025 114.2 41.9276 2,616.2445 4,788 242,086 298,775
10-11-2025 115.59 41.6829 2,657.9274 4,818 246,904 307,230

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.