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Friday ,
20 Jul 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 19-Jul-2018Current Value as on 19-Jul-2018ProfitCapital Gain TaxReturns (%) (XIRR)Post Tax Returns (%)
10000019-Jul-2016 to 19-Jul-20182461.4631,741100,000100,00031,7410.007.977.97
STP - Transferee Scheme : AXIS Midcap Fund (G)
STP PeriodNo of Monthly InstallmentsTotal No. Units AccumulatedTotal Amount InvestedValue as on 19-Jul-2018Current Value as on 19-Jul-2018ProfitReturns (%)
19-Jul-2016 to 19-Jul-2018241,175.5131,74140,73140,7318,99016.78
STP - Total Returns:
Total Investment Amount Total Current Value Total Profit Total Returns (%)
100,000140,73140,7318.91
AXIS Banking & PSU Debt Fund (G)
NAV DateNAVUnitsBalance UnitsNet Amount Profit Transfer No. of Days(Invested) Capital GainCapital Gain TaxCurrent Value
21-Jul-20141202.611883.152483.1524100,000100,000000100,000
19-Jul-20161420.406712.749970.4025118,110 - 18,1107312,776.820.00100,000
19-Aug-20161428.96830.42269.9805100,603 -60376295.500.00100,000
19-Sep-20161437.24310.402969.5776100,579 -57979394.470.00100,000
19-Oct-20161447.46880.491269.0864100,711 -711823120.280.00100,000
21-Nov-20161463.10140.738268.3482101,080 -1,080856192.230.00100,000
19-Dec-20161466.37020.152868.1954100,224 -22488440.240.00100,000
19-Jan-20171478.93160.578867.6166100,856 -856915159.930.00100,000
20-Feb-20171486.40290.340467.2762100,506 -50694796.630.00100,000
20-Mar-20171490.9210.203267.073100,303 -30397558.630.00100,001
19-Apr-20171502.54670.519166.5539100,780 -7801005155.720.00100,000
19-May-20171509.19340.293566.2604100,443 -443103590.030.00100,000
19-Jun-20171521.5750.538965.7215100,820 -8201066171.910.00100,000
19-Jul-20171533.08290.493865.2277100,757 -7571096757.000.0099,999
21-Aug-20171542.9480.416764.811100,643 -6431129643.000.00100,000
19-Sep-20171550.57040.318664.4924100,494 -4941158494.000.00100,000
23-Oct-20171559.65280.375764.1167100,586 -5861192586.000.00100,000
20-Nov-20171566.64620.28663.8307100,448 -4481220448.000.00100,000
19-Dec-20171572.66360.244263.5865100,384 -3841249384.000.00100,000
19-Jan-20181579.460.273563.313100,432 -4321280432.000.00100,000
20-Feb-20181587.86250.33562.978100,532 -5321312532.000.00100,000
19-Mar-20181598.6220.424162.5539100,678 -6781339678.000.00100,000
19-Apr-20181607.89380.360762.1932100,580 -5801370580.000.00100,000
19-Jun-20181610.39270.096262.097100,155 -1551431155.000.00100,001
19-Jul-20181627.08930.637361.4597101,037 -1,03714611,037.000.00100,000
AXIS Midcap Fund (G)
NAV DateNAVUnits PurchasedTotal UnitsAmount InvestedTotal Amount InvestedCurrent Value Of Investment
19-Jul-201625.55708.8063708.806318,11018,11018,110
19-Aug-201626.6122.6607731.46760318,71319,464
19-Sep-201626.5521.8079753.274957919,29219,999
19-Oct-201627.326.044779.318971120,00321,275
21-Nov-201623.7545.4737824.79261,08021,08319,589
19-Dec-201624.249.2409834.033522421,30720,217
19-Jan-201725.2433.9144867.947985622,16321,907
20-Feb-201726.2819.2542887.202150622,66923,316
20-Mar-201727.0611.1973898.399430322,97224,311
19-Apr-201727.9327.927926.326478023,75225,872
19-May-201728.2715.6703941.996744324,19526,630
19-Jun-201729.7227.5908969.587582025,01528,816
19-Jul-201730.2125.0579994.645475725,77230,048
21-Aug-201729.8521.5411016.186464326,41530,333
19-Sep-20173215.43751031.623949426,90933,012
23-Oct-201731.7518.45671050.080658627,49533,340
20-Nov-201732.7213.69191063.772544827,94334,807
19-Dec-201733.911.32741075.099938428,32736,446
19-Jan-201835.0112.33931087.439243228,75938,071
19-Feb-201832.5416.34911103.788353229,29135,917
19-Mar-201832.520.86151124.649867829,96936,551
19-Apr-201835.316.43061141.080458030,54940,280
19-Jun-201834.454.49931145.579715530,70439,465
19-Jul-201834.6529.92781175.50751,03731,74140,731
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