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Saturday ,
26 May 2018
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STP Calculator Profit Transfer
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STP - Transferor Scheme : AXIS Banking & PSU Debt Fund (G)
Initial Investment AmountSTP PeriodNo of Monthly InstallmentsTotal No. Units RemainingTotal Amount Invested Transferred Value as on 25-May-2018Current Value as on 25-May-2018ProfitCapital Gain TaxReturns (%) (XIRR)Post Tax Returns (%)
10000025-May-2016 to 25-May-20182462.2431,750100,00099,93031,6800.007.967.96
STP - Transferee Scheme : AXIS Midcap Fund (G)
STP PeriodNo of Monthly InstallmentsTotal No. Units AccumulatedTotal Amount InvestedValue as on 25-May-2018Current Value as on 25-May-2018ProfitReturns (%)
25-May-2016 to 25-May-2018241,238.3931,75043,64142,89811,14820.34
STP - Total Returns:
Total Investment Amount Total Current Value Total Profit Total Returns (%)
100,000142,82842,8289.31
AXIS Banking & PSU Debt Fund (G)
NAV DateNAVUnitsBalance UnitsNet Amount Profit Transfer No. of Days(Invested) Capital GainCapital Gain TaxCurrent Value
26-May-20141187.295984.22584.225100,000100,000000100,000
25-May-20161401.967512.896971.3281118,081 - 18,0817312,768.560.00100,000
27-Jun-20161411.81230.497270.8309100,702 -702764111.680.00100,000
25-Jul-20161422.29410.521770.3092100,742 -742792122.590.00100,000
25-Aug-20161430.56050.406869.9024100,582 -58282399.010.00100,000
26-Sep-20161439.76640.446669.4558100,643 -643855112.750.00100,000
25-Oct-20161448.67510.427369.0285100,619 -619884111.670.00100,000
25-Nov-20161466.55940.841468.1871101,234 -1,234915235.010.00100,000
26-Dec-20161466.81270.012368.1748100,018 -189463.400.00100,000
25-Jan-20171480.24820.618867.556100,916 -916976181.300.00100,000
27-Feb-20171488.16740.359567.1965100,535 -5351009108.170.00100,000
27-Mar-20171494.65390.291766.9048100,436 -436103789.670.00100,000
25-Apr-20171503.65660.400466.5044100,602 -6021066126.610.00100,000
25-May-20171511.10250.327666.1768100,495 -4951096495.000.00100,000
27-Jun-20171523.75570.549365.6275100,837 -8371129837.000.00100,000
25-Jul-20171535.19780.489265.1383100,751 -7511157751.000.00100,000
28-Aug-20171544.72730.40264.7363100,621 -6211191621.000.00100,000
25-Sep-20171551.29460.27464.4623100,425 -4251219425.000.00100,000
25-Oct-20171560.16740.366664.0957100,572 -5721249572.000.00100,000
27-Nov-20171567.77940.311363.7844100,488 -4881282488.000.00100,000
26-Dec-20171573.40320.228263.5562100,359 -3591311359.000.00100,000
25-Jan-20181580.75460.295463.2608100,467 -4671341467.000.00100,000
26-Feb-20181588.6950.31662.9448100,502 -5021373502.000.00100,000
26-Mar-20181598.95050.40462.5408100,646 -6461401646.000.00100,000
25-Apr-20181606.57620.296962.2439100,477 -4771431477.000.00100,000
AXIS Midcap Fund (G)
NAV DateNAVUnits PurchasedTotal UnitsAmount InvestedTotal Amount InvestedCurrent Value Of Investment
25-May-201623.92755.8946755.894618,08118,08118,081
27-Jun-201624.428.7705784.665170218,78319,146
25-Jul-201625.9228.6265813.291674219,52521,081
25-Aug-201626.4721.9872835.278858220,10722,110
26-Sep-201626.7624.0284859.307264320,75022,995
25-Oct-201627.2522.7156882.022861921,36924,035
25-Nov-201624.3450.6984932.72121,23422,60322,702
26-Dec-201623.270.7735933.49471822,62121,722
25-Jan-201725.3636.1199969.614691623,53724,589
27-Feb-201726.2620.3732989.987853524,07225,997
27-Mar-201727.1416.06481006.052643624,50827,304
25-Apr-201728.5121.11541027.16860225,11029,285
25-May-201727.7917.81221044.980249525,60529,040
27-Jun-201728.9728.8921073.872283726,44231,110
25-Jul-201730.3424.75281098.62575127,19333,332
28-Aug-201730.5220.34731118.972362127,81434,151
25-Sep-201730.5313.92071132.89342528,23934,587
25-Oct-201731.7718.00441150.897457228,81136,564
27-Nov-201733.0614.7611165.658448829,29938,537
26-Dec-201734.2410.48481176.143235929,65840,271
25-Jan-201833.9813.74341189.886646730,12540,432
26-Feb-201833.1815.12961205.016250230,62739,982
26-Mar-201832.5719.83421224.850464631,27339,893
25-Apr-201835.2413.53581238.386247731,75043,641
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