STP Calculator Profit Transfer

STP Calculator Profit Transfer

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STP - Transferor Scheme : Mirae Asset Banking and Financial Services Fund Regular Growth

Initial Investment Amount STP Period No of Monthly Installments Total No. Units Remaining Total Amount Transferred Value as on 23-10-2025 Current Value as on 21-11-2025 Profit Returns (%)
1,000,000 22-11-2022 to 22-11-2025 23 46,650.49 902,098 1,000,000 1,015,161 917,259 14.46

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 23-10-2025 Current Value as on 21-11-2025 Profit Returns (%)
22-11-2022 to 22-11-2025 23 5,805.66 902,098 675,186 681,799 -220,299 12.61

STP - Total Returns:

Total Investment Amount Total Current Value Total Profit Total Returns (%)
1,000,000 1,696,960 696,960 14.13

Mirae Asset Banking and Financial Services Fund Regular Growth

Nav Date Nav Units Cumulative Units Net Amount Profit Transfer Capital Gain/Loss
(Profit Transfer)
No. of Days
(Invested)
Current Value
22-11-2021 12.633 79,157.7614 79,157.7614 1,000,000 1,000,000 0 0 1,000,000
22-11-2022 13.439 4,747.463 74,410.2984 1,063,801 -63,801 3,826.46 365 1,000,000
22-12-2022 13.486 259.327 74,150.9714 1,003,497 -3,497 221.21 395 1,000,000
23-01-2023 13.639 831.8131 73,319.1583 1,011,345 -11,345 836.8 427 1,000,000
22-02-2023 12.803 -4,787.5354 78,106.6937 938,705 61,295 -813.88 457 1,000,000
22-03-2023 12.791 -73.2765 78,179.9703 999,063 937 -11.58 485 1,000,000
24-04-2023 13.429 3,714.2618 74,465.7085 1,049,879 -49,879 2,956.55 518 1,000,000
22-05-2023 13.955 2,806.8049 71,658.9036 1,039,169 -39,169 3,710.6 546 1,000,000
22-06-2023 14.454 2,473.9029 69,185.0007 1,035,758 -35,758 4,504.98 577 1,000,000
24-07-2023 15.457 4,489.3935 64,695.6072 1,069,393 -69,393 12,678.05 609 1,000,000
22-08-2023 15.039 -1,798.1757 66,493.7828 972,957 27,043 -4,326.41 638 1,000,000
22-09-2023 15.328 1,253.6993 65,240.0835 1,019,217 -19,217 3,378.72 669 1,000,000
23-10-2023 15.008 -1,391.0466 66,631.1301 979,123 20,877 -3,303.74 700 1,000,000
22-11-2023 15.237 1,001.4129 65,629.7171 1,015,259 -15,259 2,607.68 730 1,000,000
22-12-2023 16.286 4,227.2856 61,402.4315 1,068,846 -68,846 15,442.27 760 1,000,000
23-01-2024 15.894 -1,514.3924 62,916.824 975,930 24,070 -4,938.43 792 1,000,000
22-02-2024 16.708 3,065.2558 59,851.5681 1,051,214 -51,214 12,490.92 822 1,000,000
22-03-2024 16.225 -1,781.7139 61,633.282 971,092 28,908 -6,399.92 851 1,000,000
22-04-2024 16.838 2,243.8058 59,389.4762 1,037,781 -37,781 9,435.2 882 1,000,000
22-05-2024 16.983 507.0644 58,882.4118 1,008,611 -8,611 2,205.73 912 1,000,000
24-06-2024 18.369 4,442.8669 54,439.5449 1,081,611 -81,611 25,484.28 945 1,000,000
22-07-2024 18.804 1,259.3705 53,180.1744 1,023,681 -23,681 7,771.58 973 1,000,000
22-08-2024 18.534 -774.7193 53,954.8937 985,641 14,359 -4,571.62 1,004 1,000,000
23-09-2024 19.622 2,991.6891 50,963.2046 1,058,703 -58,703 20,908.92 1,036 1,000,000
22-10-2024 18.506 -3,073.3241 54,036.5287 943,125 56,875 -18,049.63 1,065 1,000,000
22-11-2024 18.394 -329.0253 54,365.554 993,948 6,052 -1,895.51 1,096 1,000,000
23-12-2024 18.593 581.872 53,783.682 1,010,819 -10,819 3,467.96 1,127 1,000,000
22-01-2025 17.424 -3,608.4208 57,392.1028 937,127 62,873 -17,287.94 1,157 1,000,000
24-02-2025 17.308 -384.6478 57,776.7506 993,343 6,657 -1,798.23 1,190 1,000,000
24-03-2025 18.876 4,799.4249 52,977.3257 1,090,594 -90,594 29,962.81 1,218 1,000,000
22-04-2025 20.058 3,121.9064 49,855.4193 1,062,619 -62,619 23,180.16 1,247 1,000,000
22-05-2025 19.923 -337.8247 50,193.244 993,270 6,730 -2,462.74 1,277 1,000,000
23-06-2025 20.482 1,369.8869 48,823.3571 1,028,058 -28,058 10,752.24 1,309 1,000,000
22-07-2025 20.894 962.7272 47,860.6298 1,020,115 -20,115 7,953.09 1,338 1,000,000
22-08-2025 20.368 -1,235.9923 49,096.6222 974,825 25,175 -9,560.4 1,369 1,000,000
22-09-2025 20.506 330.4074 48,766.2148 1,006,775 -6,775 2,601.3 1,400 1,000,000
23-10-2025 21.436 2,115.7203 46,650.4945 1,045,353 -45,353 18,624.69 1,431 1,000,000

Mirae Asset Large Cap Fund - Growth Plan

Nav Date Nav Units Cumulative Units Cash Flow Amount Current Value
22-11-2022 80.637 791.2144 791.2144 63,801 63,801 63,801
22-12-2022 80.067 43.6795 834.8939 3,497 67,298 66,847
23-01-2023 80.057 141.7128 976.6066 11,345 78,644 78,184
22-02-2023 77.842 -787.426 189.1806 -61,295 17,349 14,726
22-03-2023 75.961 -12.339 176.8416 -937 16,411 13,433
24-04-2023 77.889 640.3834 817.225 49,879 66,290 63,653
22-05-2023 80.59 486.0276 1,303.2526 39,169 105,459 105,029
22-06-2023 83.201 429.776 1,733.0286 35,758 141,217 144,190
24-07-2023 86.516 802.0777 2,535.1063 69,393 210,610 219,327
22-08-2023 86.522 -312.5536 2,222.5527 -27,043 183,567 192,300
22-09-2023 87.753 218.9863 2,441.539 19,217 202,784 214,252
23-10-2023 85.306 -244.7287 2,196.8103 -20,877 181,907 187,401
22-11-2023 88.18 173.0384 2,369.8487 15,259 197,165 208,973
22-12-2023 93.622 735.3568 3,105.2055 68,846 266,011 290,716
23-01-2024 93.118 -258.4866 2,846.7189 -24,070 241,941 265,081
22-02-2024 96.112 532.8606 3,379.5795 51,214 293,155 324,818
22-03-2024 95.546 -302.5591 3,077.0204 -28,908 264,247 293,997
22-04-2024 97.405 387.8774 3,464.8979 37,781 302,028 337,498
22-05-2024 99.226 86.7865 3,551.6843 8,611 310,640 352,419
24-06-2024 104.545 780.6306 4,332.3149 81,611 392,251 452,922
22-07-2024 109.034 217.191 4,549.5059 23,681 415,932 496,051
22-08-2024 110.807 -129.5825 4,419.9234 -14,359 401,573 489,758
23-09-2024 116.415 504.2557 4,924.1791 58,703 460,276 573,248
22-10-2024 108.797 -522.762 4,401.4171 -56,875 403,401 478,861
22-11-2024 107.299 -56.404 4,345.0131 -6,052 397,349 466,216
23-12-2024 107.458 100.6788 4,445.6919 10,819 408,168 477,725
22-01-2025 103.363 -608.275 3,837.417 -62,873 345,295 396,647
24-02-2025 100.332 -66.3545 3,771.0624 -6,657 338,637 378,358
24-03-2025 105.469 858.9628 4,630.0252 90,594 429,231 488,324
22-04-2025 107.749 581.1581 5,211.1833 62,619 491,850 561,500
22-05-2025 109.822 -61.2854 5,149.8979 -6,730 485,120 565,572
23-06-2025 111.355 251.9691 5,401.867 28,058 513,178 601,525
22-07-2025 113.407 177.372 5,579.239 20,115 533,293 632,725
22-08-2025 112.998 -222.7888 5,356.4502 -25,175 508,119 605,268
22-09-2025 114.374 59.2384 5,415.6886 6,775 514,894 619,414
23-10-2025 116.298 389.9687 5,805.6573 45,353 560,246 675,186

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.