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 11-12-2025 Current Value as on 09-01-2026 Profit Returns (%)
1,000,000 11-01-2023 to 11-01-2026 24 45,913.68 837,253 1,000,000 998,898 836,151 13.92

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 11-12-2025 Current Value as on 09-01-2026 Profit Returns (%)
11-01-2023 to 11-01-2026 24 5,623.74 837,253 655,774 651,072 -186,181 10.63

STP - Total Returns:

Total Investment Amount Total Current Value Total Profit Total Returns (%)
1,000,000 1,649,970 649,970 13.35

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
11-01-2022 12.895 77,549.4378 77,549.4378 1,000,000 1,000,000 0 0 1,000,000
11-01-2023 13.481 3,370.9644 74,178.4734 1,045,444 -45,444 1,975.39 365 1,000,000
13-02-2023 13.161 -1,803.5948 75,982.0682 976,263 23,737 -479.76 398 1,000,000
13-03-2023 12.671 -2,938.3011 78,920.3693 962,769 37,231 658.18 426 1,000,000
11-04-2023 13.153 2,892.0868 76,028.2825 1,038,040 -38,040 746.16 455 1,000,000
11-05-2023 13.818 3,658.9092 72,369.3733 1,050,559 -50,559 3,377.17 485 1,000,000
12-06-2023 14.27 2,292.2885 70,077.0848 1,032,711 -32,711 3,151.9 517 1,000,000
11-07-2023 14.814 2,573.3721 67,503.7127 1,038,122 -38,122 4,938.3 546 1,000,000
11-08-2023 15.106 1,304.8513 66,198.8614 1,019,711 -19,711 2,885.03 577 1,000,000
11-09-2023 15.706 2,528.9263 63,669.9351 1,039,719 -39,719 7,108.81 608 1,000,000
11-10-2023 15.463 -1,000.5687 64,670.5038 984,528 15,472 -2,569.46 638 1,000,000
13-11-2023 15.353 -463.3463 65,133.8501 992,886 7,114 -1,138.91 671 1,000,000
11-12-2023 16.392 4,128.4816 61,005.3685 1,067,674 -67,674 14,437.3 699 1,000,000
11-01-2024 16.556 604.3054 60,401.0631 1,010,005 -10,005 2,212.36 730 1,000,000
12-02-2024 16.122 -1,625.9807 62,027.0438 973,786 26,214 -5,247.04 762 1,000,000
11-03-2024 16.531 1,534.6356 60,492.4082 1,025,369 -25,369 5,579.93 790 1,000,000
12-04-2024 16.942 1,467.4997 59,024.9085 1,024,862 -24,862 5,938.97 822 1,000,000
13-05-2024 16.833 -382.2085 59,407.117 993,566 6,434 -1,505.14 853 1,000,000
11-06-2024 17.698 2,903.5572 56,503.5597 1,051,387 -51,387 13,945.79 882 1,000,000
11-07-2024 18.831 3,399.6353 53,103.9244 1,064,019 -64,019 20,180.24 912 1,000,000
12-08-2024 18.193 -1,862.2714 54,966.1958 966,120 33,880 -9,866.31 944 1,000,000
11-09-2024 18.58 1,144.8825 53,821.3132 1,021,272 -21,272 6,508.66 974 1,000,000
11-10-2024 18.75 487.9799 53,333.3333 1,009,150 -9,150 2,857.12 1,004 1,000,000
11-11-2024 18.738 -34.1552 53,367.4885 999,360 640 -199.57 1,035 1,000,000
11-12-2024 19.362 1,719.9315 51,647.5571 1,033,301 -33,301 11,122.8 1,065 1,000,000
13-01-2025 17.328 -6,062.5076 57,710.0646 894,949 105,051 -26,875.1 1,098 1,000,000
11-02-2025 17.506 586.7926 57,123.272 1,010,272 -10,272 2,705.7 1,127 1,000,000
11-03-2025 17.424 -268.8308 57,392.1028 995,316 4,684 -1,217.53 1,155 1,000,000
11-04-2025 18.495 3,323.4356 54,068.6672 1,061,467 -61,467 18,611.24 1,186 1,000,000
12-05-2025 19.866 3,731.4076 50,337.2596 1,074,128 -74,128 26,011.64 1,217 1,000,000
11-06-2025 20.605 1,805.3499 48,531.9097 1,037,199 -37,199 13,919.25 1,247 1,000,000
11-07-2025 20.799 452.6752 48,079.2346 1,009,415 -9,415 3,577.94 1,277 1,000,000
11-08-2025 20.352 -1,055.9855 49,135.2201 978,509 21,491 -7,874.48 1,308 1,000,000
11-09-2025 20.257 -230.4313 49,365.6514 995,332 4,668 -1,696.43 1,339 1,000,000
13-10-2025 20.85 1,404.0207 47,961.6307 1,029,274 -29,274 11,168.98 1,371 1,000,000
11-11-2025 21.435 1,308.9598 46,652.6709 1,028,058 -28,058 11,178.52 1,400 1,000,000
11-12-2025 21.78 738.9886 45,913.6823 1,016,095 -16,095 6,565.91 1,430 1,000,000

Mirae Asset Large Cap Fund - Growth Plan

Nav Date Nav Units Cumulative Units Cash Flow Amount Current Value
11-01-2023 79.573 571.0979 571.0979 45,444 45,444 45,444
13-02-2023 78.774 -301.3318 269.7661 -23,737 21,707 21,251
13-03-2023 75.824 -491.0215 -221.2554 -37,231 -15,524 -16,776
11-04-2023 77.978 487.825 266.5696 38,040 22,515 20,787
11-05-2023 80.451 628.4423 895.0118 50,559 73,074 72,005
12-06-2023 82.297 397.4745 1,292.4863 32,711 105,785 106,368
11-07-2023 85.229 447.2883 1,739.7746 38,122 143,907 148,279
11-08-2023 86.567 227.6974 1,967.472 19,711 163,618 170,318
11-09-2023 89.747 442.5699 2,410.0419 39,719 203,337 216,294
11-10-2023 88.306 -175.2066 2,234.8353 -15,472 187,866 197,349
13-11-2023 86.474 -82.2647 2,152.5706 -7,114 180,752 186,141
11-12-2023 92.665 730.3089 2,882.8795 67,674 248,426 267,142
11-01-2024 94.697 105.6515 2,988.531 10,005 258,431 283,005
12-02-2024 93.366 -280.7667 2,707.7643 -26,214 232,217 252,813
11-03-2024 96.271 263.5172 2,971.2815 25,369 257,586 286,048
12-04-2024 97.972 253.7703 3,225.0517 24,862 282,448 315,965
13-05-2024 96.67 -66.5534 3,158.4983 -6,434 276,014 305,332
11-06-2024 102.469 501.4898 3,659.9881 51,387 327,402 375,035
11-07-2024 108.484 590.1196 4,250.1077 64,019 391,420 461,069
12-08-2024 108.622 -311.9101 3,938.1976 -33,880 357,540 427,775
11-09-2024 112.251 189.5031 4,127.7007 21,272 378,812 463,339
11-10-2024 111.771 81.8604 4,209.5612 9,150 387,961 470,507
11-11-2024 108.544 -5.8962 4,203.6649 -640 387,321 456,283
11-12-2024 111.966 297.4234 4,501.0884 33,301 420,623 503,969
13-01-2025 102.775 -1,022.1467 3,478.9416 -105,051 315,572 357,548
11-02-2025 102.557 100.1628 3,579.1044 10,272 325,844 367,062
11-03-2025 99.927 -46.8753 3,532.2291 -4,684 321,160 352,965
11-04-2025 101.57 605.1683 4,137.3974 61,467 382,627 420,235
12-05-2025 110.408 671.4019 4,808.7993 74,128 456,755 530,930
11-06-2025 112.82 329.722 5,138.5213 37,199 493,954 579,728
11-07-2025 113.02 83.3055 5,221.8268 9,415 503,369 590,171
11-08-2025 111.058 -193.5153 5,028.3115 -21,491 481,878 558,434
11-09-2025 113.559 -41.105 4,987.2065 -4,668 477,210 566,342
13-10-2025 113.867 257.0879 5,244.2944 29,274 506,484 597,152
11-11-2025 116.218 241.4218 5,485.7162 28,058 534,541 637,539
11-12-2025 116.608 138.028 5,623.7442 16,095 550,637 655,774

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.