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Tuesday ,
25 Sep 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 24-Sep-2018Current Value as on 24-Sep-2018ProfitCapital Gain TaxReturns (%) (XIRR)Post Tax Returns (%)
10000024-Sep-2016 to 24-Sep-20182361.0630,882100,00099,26830,1500.007.597.59
STP - Transferee Scheme : AXIS Midcap Fund (G)
STP PeriodNo of Monthly InstallmentsTotal No. Units AccumulatedTotal Amount InvestedValue as on 24-Sep-2018Current Value as on 24-Sep-2018ProfitReturns (%)
24-Sep-2016 to 24-Sep-2018231,104.5830,88241,43338,6937,81114.85
STP - Total Returns:
Total Investment Amount Total Current Value Total Profit Total Returns (%)
100,000137,96137,9618.37
AXIS Banking & PSU Debt Fund (G)
NAV DateNAVUnitsBalance UnitsNet Amount Profit Transfer No. of Days(Invested) Capital GainCapital Gain TaxCurrent Value
24-Sep-20141220.661981.922881.9228100,000100,000000100,000
26-Sep-20161439.766412.467369.4555117,950 - 17,9507332,731.640.00100,000
24-Oct-20161448.5620.421869.0337100,611 -61176196.120.00100,000
24-Nov-20161466.7630.856368.1774101,256 -1,256792210.750.00100,000
26-Dec-20161466.81270.00268.1754100,003 -38240.560.00100,001
24-Jan-20171480.05650.610167.5653100,903 -903853158.270.00100,000
27-Feb-20171488.16740.368267.1971100,548 -54888798.550.00100,001
24-Mar-20171493.61470.245766.9514100,367 -36791267.080.00100,000
24-Apr-20171503.34260.43366.5184100,651 -651943122.450.00100,000
24-May-20171510.65530.321766.1967100,486 -48697393.310.00100,000
27-Jun-20171523.75570.569665.6271100,868 -8681007172.710.00100,000
24-Jul-20171534.94540.478265.1489100,734 -7341034150.280.00100,000
24-Aug-20171543.69390.369264.7797100,570 -5701065119.330.00100,000
25-Sep-20171551.29460.317264.4625100,492 -4921097492.000.00100,000
24-Oct-20171559.90140.355864.1067100,555 -5551126555.000.00100,000
24-Nov-20171567.08980.294263.8125100,461 -4611157461.000.00100,000
26-Dec-20171573.40320.256163.5564100,403 -4031189403.000.00100,000
24-Jan-20181580.62630.290463.266100,459 -4591218459.000.00100,000
26-Feb-20181588.6950.32162.945100,510 -5101251510.000.00100,000
26-Mar-20181598.95050.40462.541100,646 -6461279646.000.00100,000
24-Apr-20181607.05550.315562.2255100,507 -5071308507.000.00100,000
25-Jun-20181615.31380.318261.9073100,514 -5141370514.000.00100,000
24-Jul-20181627.19860.451761.4556100,735 -7351399735.000.00100,000
24-Aug-20181637.82430.398761.0569100,653 -6531430653.000.00100,000
AXIS Midcap Fund (G)
NAV DateNAVUnits PurchasedTotal UnitsAmount InvestedTotal Amount InvestedCurrent Value Of Investment
26-Sep-201626.76670.7773670.777317,95017,95017,950
24-Oct-201627.3322.3564693.133761118,56118,943
24-Nov-201624.1152.0946745.22831,25619,81717,967
26-Dec-201623.270.1289745.3572319,82017,344
24-Jan-201725.1235.9475781.304790320,72319,626
27-Feb-201726.2620.8682802.172954821,27121,065
24-Mar-201727.1513.5175815.690436721,63822,146
24-Apr-201728.3222.9873838.677765122,28923,751
24-May-201727.6917.5515856.229248622,77523,709
27-Jun-201728.9729.962886.191286823,64325,673
24-Jul-201730.1924.3127910.503973424,37727,488
24-Aug-201730.2918.8181929.32257024,94728,149
25-Sep-201730.5316.1153945.437349225,43928,864
24-Oct-201731.7817.4638962.901155525,99430,601
24-Nov-201732.9713.9824976.883546126,45532,208
26-Dec-201734.2411.7699988.653440326,85833,851
24-Jan-201834.1913.4251002.078445927,31734,261
26-Feb-201833.1815.37071017.449151027,82733,759
26-Mar-201832.5719.83421037.283364628,47333,784
24-Apr-201835.3814.33011051.613450728,98037,206
25-Jun-201834.4914.90291066.516351429,49436,784
24-Jul-201835.5920.65191087.168273530,22938,692
24-Aug-201837.5117.40871104.576965330,88241,433
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