STP Calculator Profit Transfer


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Initial Investment Amount STP Period No of Monthly Installments Total No. Units Remaining Total Amount Transferred Value as on 28-12-2025 Current Value as on 28-12-2025 Profit Returns (%)
1,000,000 28-12-2022 to 28-12-2025 37 355.12 250,110 1,000,000 1,000,000 250,110 6.35
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 26-12-2025 Current Value as on 26-12-2025 Profit Returns (%)
28-12-2022 to 28-12-2025 37 407.62 250,110 47,923 47,923 -202,187 0
STP - Total Returns:
Total Investment Amount Total Current Value Total Profit Total Returns (%)
1,000,000 1,047,923 47,923 1.18
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
28-12-2021 2196.5073 455.2682 455.2682 1,000,000 1,000,000 0 0 1,000,000
28-12-2022 2301.7707 20.8201 434.4481 1,047,923 -47,923 2,191.59 365 1,000,000
29-01-2023 2314.8397 2.4528 431.9954 1,005,678 -5,678 290.24 397 1,000,000
28-02-2023 2326.7977 2.2201 429.7752 1,005,166 -5,166 289.26 427 1,000,000
28-03-2023 2338.4762 2.1463 427.6289 1,005,019 -5,019 304.71 455 1,000,000
28-04-2023 2353.9597 2.8128 424.8161 1,006,621 -6,621 442.88 486 1,000,000
28-05-2023 2367.6608 2.4583 422.3578 1,005,820 -5,820 420.75 516 1,000,000
28-06-2023 2380.8493 2.3396 420.0182 1,005,570 -5,570 431.29 547 1,000,000
28-07-2023 2394.1635 2.3358 417.6824 1,005,592 -5,592 461.68 577 1,000,000
28-08-2023 2407.5709 2.326 415.3564 1,005,600 -5,600 490.94 608 1,000,000
28-09-2023 2421.3259 2.3595 412.9969 1,005,713 -5,713 530.47 639 1,000,000
28-10-2023 2434.8067 2.2866 410.7102 1,005,568 -5,568 544.91 669 1,000,000
28-11-2023 2449.0664 2.3914 408.3189 1,005,857 -5,857 603.96 700 1,000,000
28-12-2023 2462.9801 2.3066 406.0122 1,005,681 -5,681 614.66 730 1,000,000
28-01-2024 2478.2732 2.5054 403.5068 1,006,209 -6,209 705.95 761 1,000,000
28-02-2024 2493.661 2.4899 401.0168 1,006,209 -6,209 739.9 792 1,000,000
28-03-2024 2508.7429 2.4108 398.606 1,006,048 -6,048 752.74 821 1,000,000
28-04-2024 2524.7557 2.5281 396.0779 1,006,383 -6,383 829.84 852 1,000,000
28-05-2024 2539.3042 2.2693 393.8087 1,005,762 -5,762 777.9 882 1,000,000
28-06-2024 2554.2427 2.3032 391.5055 1,005,883 -5,883 823.93 913 1,000,000
28-07-2024 2569.2422 2.2856 389.2198 1,005,872 -5,872 851.94 943 1,000,000
28-08-2024 2584.1333 2.2429 386.9769 1,005,796 -5,796 869.4 974 1,000,000
29-09-2024 2599.856 2.3403 384.6367 1,006,084 -6,084 943.94 1,006 1,000,000
28-10-2024 2614.3828 2.1372 382.4995 1,005,588 -5,588 893.1 1,035 1,000,000
28-11-2024 2629.572 2.2094 380.29 1,005,810 -5,810 956.83 1,066 1,000,000
29-12-2024 2644.1464 2.0961 378.1939 1,005,542 -5,542 938.31 1,097 1,000,000
28-01-2025 2660.0706 2.264 375.9299 1,006,022 -6,022 1,049.51 1,127 1,000,000
28-02-2025 2675.8762 2.2205 373.7094 1,005,942 -5,942 1,064.44 1,158 1,000,000
28-03-2025 2692.1721 2.2621 371.4473 1,006,090 -6,090 1,121.24 1,186 1,000,000
28-04-2025 2708.5082 2.2403 369.2069 1,006,068 -6,068 1,147.06 1,217 1,000,000
28-05-2025 2722.9799 1.9622 367.2447 1,005,343 -5,343 1,033.05 1,247 1,000,000
28-06-2025 2736.9651 1.8765 365.3682 1,005,136 -5,136 1,014.18 1,278 1,000,000
28-07-2025 2750.224 1.7614 363.6067 1,004,844 -4,844 975.34 1,308 1,000,000
28-08-2025 2763.0484 1.6876 361.9191 1,004,663 -4,663 956.12 1,339 1,000,000
28-09-2025 2775.7961 1.6621 360.257 1,004,614 -4,614 962.83 1,370 1,000,000
28-10-2025 2789.2888 1.7427 358.5143 1,004,861 -4,861 1,033.03 1,400 1,000,000
28-11-2025 2802.8792 1.7383 356.776 1,004,872 -4,872 1,054.08 1,431 1,000,000
28-12-2025 2815.9392 1.6547 355.1213 1,004,659 -4,659 1,024.97 1,461 1,000,000
Mirae Asset Large Cap Fund - Growth Plan
Nav Date Nav Units Cumulative Units Cash Flow Amount Current Value
28-12-2022 80.037 598.7616 598.7616 47,923 47,923 47,923
30-01-2023 77.874 72.9101 671.6717 5,678 53,601 52,306
28-02-2023 76.815 67.2499 738.9216 5,166 58,767 56,760
28-03-2023 74.887 67.0227 805.9443 5,019 63,786 60,355
28-04-2023 79.183 83.6189 889.5632 6,621 70,407 70,438
29-05-2023 81.73 71.2156 960.7787 5,820 76,227 78,524
28-06-2023 83.985 66.3245 1,027.1033 5,570 81,798 86,261
28-07-2023 86.696 64.5036 1,091.6069 5,592 87,390 94,638
28-08-2023 86.445 64.7815 1,156.3884 5,600 92,990 99,964
29-09-2023 87.795 65.0746 1,221.463 5,713 98,703 107,238
30-10-2023 85.127 65.4026 1,286.8656 5,568 104,271 109,547
28-11-2023 88.337 66.2984 1,353.1641 5,857 110,127 119,534
28-12-2023 94.969 59.8219 1,412.986 5,681 115,809 134,190
29-01-2024 94.727 65.5482 1,478.5342 6,209 122,018 140,057
28-02-2024 95.204 65.2187 1,543.7529 6,209 128,227 146,971
28-03-2024 96.444 62.711 1,606.4638 6,048 134,275 154,934
29-04-2024 98.907 64.5333 1,670.9972 6,383 140,658 165,273
28-05-2024 100.247 57.4814 1,728.4786 5,762 146,420 173,275
28-06-2024 106.131 55.4307 1,783.9092 5,883 152,303 189,328
29-07-2024 110.497 53.1452 1,837.0544 5,872 158,175 202,989
28-08-2024 111.886 51.8019 1,888.8564 5,796 163,971 211,337
30-09-2024 115.424 52.7128 1,941.5692 6,084 170,056 224,104
28-10-2024 108.363 51.5632 1,993.1324 5,588 175,643 215,982
28-11-2024 108.208 53.6916 2,046.824 5,810 181,453 221,483
30-12-2024 106.96 51.8184 2,098.6424 5,542 186,995 224,471
28-01-2025 102.103 58.9839 2,157.6263 6,022 193,018 220,300
28-02-2025 98.144 60.5416 2,218.1679 5,942 198,960 217,700
28-03-2025 104.645 58.1961 2,276.364 6,090 205,050 238,210
28-04-2025 107.879 56.2482 2,332.6122 6,068 211,118 251,640
28-05-2025 110.591 48.3136 2,380.9259 5,343 216,461 263,309
30-06-2025 114.049 45.0332 2,425.959 5,136 221,597 276,678
28-07-2025 111.707 43.3668 2,469.3259 4,844 226,441 275,841
28-08-2025 111.383 41.8649 2,511.1908 4,663 231,104 279,704
29-09-2025 111.588 41.3453 2,552.5361 4,614 235,718 284,832
28-10-2025 116.633 41.6764 2,594.2124 4,861 240,579 302,571
28-11-2025 118.079 41.2635 2,635.4759 4,872 245,451 311,194
26-12-2025 117.569 407.6167 407.6167 47,923 47,923 47,923

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.