Mutual Fund SWP Calculator - HDFC Hybrid Equity Gr

OR

Systematic Withdrawal Plan Calculator

Scheme AMC Name Withdrawal Period No of Monthly Installments Total Withdrawal Amount Current Value as on 10-02-2018 Return (%)
HDFC Hybrid Equity Gr HDFCMF 01-01-2013 to 11-09-2022 62 186,000 2,457 20.56

HDFC Hybrid Equity Gr

Nav Date Nav Units Cumulative Units Cash Flow Net Amount Capital Gain/Loss No. of Days
(Invested)
Current Value
01-01-2012 17.5963 5,683.0129 5,683.0129 100,000 100,000 100,000
10-01-2013 22.5878 132.8151 5,550.1978 -3,000 97,000 662.95 375 125,367
10-02-2013 21.8983 136.9969 5,413.2009 -3,000 94,000 589.36 406 118,540
10-03-2013 21.8366 137.384 5,275.8169 -3,000 91,000 582.55 434 115,206
10-04-2013 20.9609 143.1236 5,132.6933 -3,000 88,000 481.55 465 107,586
10-05-2013 21.8906 137.0451 4,995.6481 -3,000 85,000 588.51 495 109,358
10-06-2013 21.6397 138.6341 4,857.0141 -3,000 82,000 560.55 526 105,104
10-07-2013 21.2582 141.122 4,715.892 -3,000 79,000 516.77 556 100,251
10-08-2013 20.2407 148.2162 4,567.6758 -3,000 76,000 391.94 587 92,453
10-09-2013 20.8804 143.6754 4,424.0004 -3,000 73,000 471.84 618 92,375
10-10-2013 21.9136 136.9013 4,287.0991 -3,000 70,000 591.04 648 93,946
10-11-2013 22.8234 131.444 4,155.6551 -3,000 67,000 687.07 679 94,846
10-12-2013 23.6213 127.004 4,028.6511 -3,000 64,000 765.2 709 95,162
10-01-2014 24.0674 124.6499 3,904.0011 -3,000 61,000 806.62 740 93,959
10-02-2014 23.9398 125.3143 3,778.6868 -3,000 58,000 794.93 771 90,461
10-03-2014 25.2137 118.9829 3,659.7039 -3,000 55,000 906.34 799 92,275
10-04-2014 26.4821 113.2841 3,546.4198 -3,000 52,000 1,006.62 830 93,917
10-05-2014 27.2494 110.0942 3,436.3256 -3,000 49,000 1,062.75 860 93,638
10-06-2014 31.0234 96.7012 3,339.6244 -3,000 46,000 1,298.42 891 103,606
10-07-2014 31.1942 96.1717 3,243.4527 -3,000 43,000 1,307.73 921 101,177
10-08-2014 31.3597 95.6642 3,147.7885 -3,000 40,000 1,316.66 952 98,714
10-09-2014 33.7908 88.7816 3,059.007 -3,000 37,000 1,437.77 983 103,366
10-10-2014 33.3532 89.9464 2,969.0606 -3,000 34,000 1,417.28 1,013 99,028
10-11-2014 34.9473 85.8435 2,883.217 -3,000 31,000 1,489.47 1,044 100,761
10-12-2014 36.1714 82.9385 2,800.2786 -3,000 28,000 1,540.59 1,074 101,290
10-01-2015 36.7321 81.6724 2,718.6061 -3,000 25,000 1,562.87 1,105 99,860
10-02-2015 36.9363 81.2209 2,637.3852 -3,000 22,000 1,570.81 1,136 97,415
10-03-2015 38.0914 78.7579 2,558.6273 -3,000 19,000 1,614.15 1,164 97,462
10-04-2015 38.5339 77.8535 2,480.7738 -3,000 16,000 1,630.07 1,195 95,594
10-05-2015 36.5335 82.1164 2,398.6573 -3,000 13,000 1,555.05 1,225 87,631
10-06-2015 36.7498 81.6331 2,317.0243 -3,000 10,000 1,563.56 1,256 85,150
10-07-2015 37.5621 79.8677 2,237.1565 -3,000 7,000 1,594.62 1,286 84,032
10-08-2015 38.8419 77.2362 2,159.9203 -3,000 4,000 1,640.93 1,317 83,895
10-09-2015 36.6477 81.8605 2,078.0598 -3,000 1,000 1,559.56 1,348 76,156
10-10-2015 38.0245 78.8965 1,999.1633 -3,000 -2,000 1,611.71 1,378 76,017
10-11-2015 37.207 80.63 1,918.5333 -3,000 -5,000 1,581.21 1,409 71,383
10-12-2015 36.8993 81.3024 1,837.231 -3,000 -8,000 1,569.38 1,439 67,793
10-01-2016 36.8547 81.4007 1,755.8302 -3,000 -11,000 1,567.65 1,470 64,711
10-02-2016 34.732 86.3757 1,669.4545 -3,000 -14,000 1,480.11 1,501 57,984
10-03-2016 35.4787 84.5578 1,584.8968 -3,000 -17,000 1,512.1 1,530 56,230
10-04-2016 36.7213 81.6965 1,503.2003 -3,000 -20,000 1,562.44 1,561 55,199
10-05-2016 37.8795 79.1985 1,424.0018 -3,000 -23,000 1,606.4 1,591 53,940
10-06-2016 39.0263 76.8712 1,347.1306 -3,000 -26,000 1,647.35 1,622 52,574
10-07-2016 39.8953 75.1968 1,271.9337 -3,000 -29,000 1,676.81 1,652 50,744
10-08-2016 41.1065 72.9812 1,198.9526 -3,000 -32,000 1,715.8 1,683 49,285
10-09-2016 42.893 69.9415 1,129.0111 -3,000 -35,000 1,769.29 1,714 48,427
10-10-2016 43.3108 69.2668 1,059.7443 -3,000 -38,000 1,781.16 1,744 45,898
10-11-2016 42.9529 69.8439 989.9004 -3,000 -41,000 1,771 1,775 42,519
10-12-2016 42.1592 71.1588 918.7415 -3,000 -44,000 1,747.87 1,805 38,733
10-01-2017 42.193 71.1018 847.6397 -3,000 -47,000 1,748.87 1,836 35,764
10-02-2017 43.945 68.2672 779.3725 -3,000 -50,000 1,798.75 1,867 34,250
10-03-2017 44.0798 68.0584 711.3141 -3,000 -53,000 1,802.42 1,895 31,355
10-04-2017 45.8952 65.3663 645.9478 -3,000 -56,000 1,849.79 1,926 29,646
10-05-2017 47.1995 63.56 582.3878 -3,000 -59,000 1,881.58 1,956 27,488
10-06-2017 48.3762 62.014 520.3739 -3,000 -62,000 1,908.78 1,987 25,174
10-07-2017 49.1957 60.9809 459.3929 -3,000 -65,000 1,926.96 2,017 22,600
10-08-2017 49.0452 61.1681 398.2249 -3,000 -68,000 1,923.67 2,048 19,531
10-09-2017 49.6452 60.4288 337.7961 -3,000 -71,000 1,936.68 2,079 16,770
10-10-2017 49.6323 60.4445 277.3515 -3,000 -74,000 1,936.4 2,109 13,766
10-11-2017 51.6868 58.0419 219.3096 -3,000 -77,000 1,978.68 2,140 11,335
10-12-2017 51.7404 57.9818 161.3279 -3,000 -80,000 1,979.74 2,170 8,347
10-01-2018 53.2475 56.3407 104.9872 -3,000 -83,000 2,008.61 2,201 5,590
10-02-2018 51.9732 57.7221 47.2651 -3,000 -86,000 1,984.31 2,232 2,457

大圣电竞数据APP v2.3 develops innovative mutual fund research tools and Calculators that may help you in your investments. Mutual Fund Distributors who wish to display MF Research and calculators on their website may write to sales@advisorkhoj.com for APIs.

comments powered by Disqus
Feedback
Notification
英雄联盟竞猜赛事现场 JJ竞技(拉萨)登录手游 英雄联盟竞猜最新版在线网址 电竞王者注册详情下载v8.8版 电竞玩家(武汉)入口娱乐 竞博电竞积分赛事