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 14-08-2025 Current Value as on 14-08-2025 Profit Returns (%)
1,000,000 14-08-2022 to 14-08-2025 37 362.68 240,506 1,000,000 1,000,000 240,506 6.08

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 14-08-2025 Current Value as on 14-08-2025 Profit Returns (%)
14-08-2022 to 14-08-2025 37 2,635.2 240,506 293,819 293,819 53,313 12.23

STP - Total Returns:

Total Investment Amount Total Current Value Total Profit Total Returns (%)
1,000,000 1,293,819 293,819 6.66

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
16-08-2021 2170.5892 460.7044 460.7044 1,000,000 1,000,000 0 0 1,000,000
16-08-2022 2252.6045 16.7738 443.9306 1,037,785 -37,785 1,375.71 365 1,000,000
14-09-2022 2262.1025 1.864 442.0666 1,004,216 -4,216 170.58 394 1,000,000
14-10-2022 2272.0162 1.9289 440.1377 1,004,383 -4,383 195.64 424 1,000,000
14-11-2022 2284.1052 2.3295 437.8082 1,005,321 -5,321 264.44 455 1,000,000
14-12-2022 2296.027 2.2733 435.5349 1,005,219 -5,219 285.15 485 1,000,000
15-01-2023 2309.3951 2.5211 433.0138 1,005,822 -5,822 349.95 517 1,000,000
14-02-2023 2321.4185 2.2427 430.7711 1,005,206 -5,206 338.27 547 1,000,000
14-03-2023 2333.1719 2.17 428.6011 1,005,063 -5,063 352.81 575 1,000,000
16-04-2023 2349.3166 2.9454 425.6557 1,006,920 -6,920 526.42 608 1,000,000
14-05-2023 2361.0132 2.1087 423.547 1,004,979 -4,979 401.55 636 1,000,000
14-06-2023 2374.8714 2.4715 421.0754 1,005,870 -5,870 504.89 667 1,000,000
14-07-2023 2388.1648 2.3439 418.7316 1,005,598 -5,598 509.97 697 1,000,000
14-08-2023 2401.3503 2.2992 416.4324 1,005,521 -5,521 530.57 728 1,000,000
14-09-2023 2415.132 2.3763 414.056 1,005,739 -5,739 581.11 759 1,000,000
14-10-2023 2428.6606 2.3065 411.7496 1,005,602 -5,602 595.23 789 1,000,000
14-11-2023 2442.6707 2.3616 409.388 1,005,769 -5,769 642.55 820 1,000,000
14-12-2023 2456.2797 2.2682 407.1198 1,005,571 -5,571 648.01 850 1,000,000
14-01-2024 2472.1148 2.6078 404.512 1,006,447 -6,447 786.32 881 1,000,000
14-02-2024 2486.4778 2.3366 402.1753 1,005,810 -5,810 738.12 912 1,000,000
14-03-2024 2501.1632 2.3613 399.814 1,005,906 -5,906 780.6 941 1,000,000
14-04-2024 2518.6287 2.7725 397.0415 1,006,983 -6,983 964.95 972 1,000,000
14-05-2024 2532.1832 2.1253 394.9161 1,005,382 -5,382 768.5 1,002 1,000,000
14-06-2024 2547.5599 2.3837 392.5325 1,006,073 -6,073 898.57 1,033 1,000,000
14-07-2024 2562.4836 2.2861 390.2464 1,005,858 -5,858 895.9 1,063 1,000,000
14-08-2024 2577.3966 2.258 387.9884 1,005,820 -5,820 918.57 1,094 1,000,000
15-09-2024 2592.7291 2.2944 385.694 1,005,949 -5,949 968.57 1,126 1,000,000
14-10-2024 2607.8467 2.2359 383.4581 1,005,831 -5,831 977.64 1,155 1,000,000
14-11-2024 2622.9706 2.211 381.2471 1,005,799 -5,799 1,000.21 1,186 1,000,000
14-12-2024 2637.2558 2.0651 379.182 1,005,446 -5,446 963.71 1,216 1,000,000
14-01-2025 2652.9699 2.246 376.9361 1,005,959 -5,959 1,083.42 1,247 1,000,000
14-02-2025 2669.0837 2.2756 374.6604 1,006,074 -6,074 1,134.39 1,278 1,000,000
14-03-2025 2682.4357 1.8649 372.7955 1,005,002 -5,002 954.54 1,306 1,000,000
14-04-2025 2702.2658 2.7357 370.0598 1,007,393 -7,393 1,454.5 1,337 1,000,000
14-05-2025 2715.7564 1.8383 368.2215 1,004,992 -4,992 1,002.17 1,367 1,000,000
14-06-2025 2731.4132 2.1107 366.1108 1,005,765 -5,765 1,183.73 1,398 1,000,000
14-07-2025 2744.6675 1.768 364.3429 1,004,853 -4,853 1,014.96 1,428 1,000,000
14-08-2025 2757.2452 1.662 362.6808 1,004,583 -4,583 975.03 1,459 1,000,000

Mirae Asset Large Cap Fund - Growth Plan

Nav Date Nav Units Cumulative Units Cash Flow Amount Current Value
16-08-2022 79.337 476.2571 476.2571 37,785 37,785 37,785
14-09-2022 80.38 52.4565 528.7136 4,216 42,001 42,498
14-10-2022 76.994 56.9202 585.6338 4,383 46,384 45,090
14-11-2022 81.032 65.6633 651.2971 5,321 51,705 52,776
14-12-2022 82.613 63.1797 714.4767 5,219 56,924 59,025
16-01-2023 79.298 73.4227 787.8995 5,822 62,746 62,479
14-02-2023 79.191 65.7436 853.643 5,206 67,953 67,601
14-03-2023 75.549 67.0164 920.6595 5,063 73,016 69,555
17-04-2023 77.793 88.9493 1,009.6088 6,920 79,935 78,540
15-05-2023 80.983 61.4786 1,071.0874 4,979 84,914 86,740
14-06-2023 82.853 70.8435 1,141.931 5,870 90,784 94,612
14-07-2023 86.045 65.0535 1,206.9844 5,598 96,381 103,855
14-08-2023 86.423 63.8856 1,270.87 5,521 101,902 109,832
14-09-2023 89.816 63.8989 1,334.7689 5,739 107,641 119,884
16-10-2023 87.847 63.7654 1,398.5343 5,602 113,243 122,857
15-11-2023 87.594 65.8567 1,464.391 5,769 119,012 128,272
14-12-2023 93.17 59.7978 1,524.1888 5,571 124,583 142,009
15-01-2024 96.445 66.8441 1,591.033 6,447 131,030 153,447
14-02-2024 94.523 61.4666 1,652.4995 5,810 136,840 156,199
14-03-2024 95.313 61.9654 1,714.4649 5,906 142,746 163,411
15-04-2024 96.716 72.2006 1,786.6655 6,983 149,729 172,799
14-05-2024 97.194 55.3707 1,842.0362 5,382 155,111 179,035
14-06-2024 103.625 58.6008 1,900.637 6,073 161,183 196,954
15-07-2024 109.578 53.46 1,954.0969 5,858 167,041 214,126
14-08-2024 107.749 54.0121 2,008.109 5,820 172,861 216,372
16-09-2024 114.294 52.0485 2,060.1575 5,949 178,810 235,464
14-10-2024 112.297 51.9227 2,112.0802 5,831 184,641 237,180
14-11-2024 105.946 54.739 2,166.8193 5,799 190,440 229,566
16-12-2024 112.074 48.5946 2,215.4139 5,446 195,886 248,290
14-01-2025 103.623 57.5018 2,272.9156 5,959 201,845 235,526
14-02-2025 101.576 59.7963 2,332.712 6,074 207,918 236,948
17-03-2025 99.779 50.1355 2,382.8474 5,002 212,921 237,758
15-04-2025 103.961 71.1091 2,453.9565 7,393 220,314 255,116
14-05-2025 109.659 45.5259 2,499.4825 4,992 225,306 274,091
16-06-2025 111.623 51.6486 2,551.1311 5,765 231,071 284,765
14-07-2025 112.945 42.9638 2,594.0948 4,853 235,924 292,990
14-08-2025 111.498 41.1002 2,635.1951 4,583 240,506 293,819

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.