Mutual Fund STP Calculator

STP - Transferor Scheme : ICICI Prudential Liquid Fund - Growth

Total Initial Investment Amount Monthly STP Amount (Rs.) STP Period No of Installments Total Amount Transferred Total No. Units Remaining Value as on 05-03-2017 Current Value as on 21-09-2021 Profit Returns (%)
200,000 10,000 05-07-2015 to 21-09-2021 21 210,000 13.95 3,333 4,291 14,291 7.72

STP - Transferee Scheme : ICICI Prudential Equity & Debt Fund - Growth

Monthly STP Amount (Rs.) STP Period No of Installments Total Amount Invested Total No. Units Accumulated Value as on 06-03-2017 Current Value as on 21-09-2021 Profit Returns (%)
10,000 05-07-2015 to 21-09-2021 21 210,000 2176.77 244,887 452,529 242,529 15.28

STP - Total Returns:

Total Investment Amount Total Current Value Total Profit Total Returns (%)
200,000 456,820 256,820 14.18

ICICI Prudential Liquid Fund - Growth

Nav Date Nav Units Cumulative Units Cash Flow Net Amount Capital Gain/Loss No. of Days (Invested) Current Value
01-07-2015 211.2494 946.7483 946.7483 200,000 200,000 0.0000 0 200,000
05-07-2015 211.4337 47.2962 899.4521 -10,000 190,000 8.7167 4 190,174
05-08-2015 212.8510 46.9812 852.4709 -10,000 180,000 75.2451 35 181,449
06-09-2015 214.2780 46.6683 805.8025 -10,000 170,000 141.3398 67 172,666
05-10-2015 215.5917 46.3840 759.4186 -10,000 160,000 201.4131 96 163,724
05-11-2015 216.9664 46.0901 713.3285 -10,000 150,000 263.4970 127 154,768
06-12-2015 218.3229 45.8037 667.5248 -10,000 140,000 323.9926 158 145,736
05-01-2016 219.6711 45.5226 622.0022 -10,000 130,000 383.3777 188 136,636
05-02-2016 221.0523 45.2382 576.7640 -10,000 120,000 443.4652 219 127,495
07-03-2016 222.4970 44.9444 531.8196 -10,000 110,000 505.5169 250 118,328
05-04-2016 224.1503 44.6129 487.2066 -10,000 100,000 575.5469 279 109,208
05-05-2016 225.6092 44.3244 442.8822 -10,000 90,000 636.4900 309 99,918
05-06-2016 227.0989 44.0337 398.8485 -10,000 80,000 697.9118 340 90,578
05-07-2016 228.5331 43.7573 355.0912 -10,000 70,000 756.2887 370 81,150
05-08-2016 229.9254 43.4924 311.5988 -10,000 60,000 812.2635 401 71,644
05-09-2016 231.2823 43.2372 268.3616 -10,000 50,000 866.1666 432 62,067
05-10-2016 232.6004 42.9922 225.3694 -10,000 40,000 917.9262 462 52,421
06-11-2016 233.9662 42.7412 182.6282 -10,000 30,000 970.9437 494 42,729
05-12-2016 235.2480 42.5083 140.1199 -10,000 20,000 1020.1404 523 32,963
05-01-2017 236.5083 42.2818 97.8381 -10,000 10,000 1067.9921 554 23,140
05-02-2017 237.8089 42.0506 55.7875 -10,000 0 1116.8421 585 13,267
05-03-2017 239.0010 41.8408 13.9467 -10,000 -10,000 1161.1500 613 3,333

ICICI Prudential Equity & Debt Fund - Growth

Nav Date Nav Units Cumulative Units Cash Flow Amount Current Value
06-07-2015 92.9300 107.6079 107.6079 10,000 10,000 10,000
05-08-2015 95.4300 104.7889 212.3967 10,000 20,000 20,269
07-09-2015 87.1400 114.7579 327.1546 10,000 30,000 28,508
05-10-2015 91.5700 109.2061 436.3607 10,000 40,000 39,958
05-11-2015 91.5500 109.2299 545.5906 10,000 50,000 49,949
07-12-2015 91.0800 109.7936 655.3842 10,000 60,000 59,692
05-01-2016 91.1500 109.7093 765.0934 10,000 70,000 69,738
05-02-2016 87.2800 114.5738 879.6672 10,000 80,000 76,777
08-03-2016 87.1000 114.8106 994.4778 10,000 90,000 86,619
05-04-2016 88.4500 113.0582 1107.5360 10,000 100,000 97,962
05-05-2016 90.9400 109.9626 1217.4986 10,000 110,000 110,719
06-06-2016 92.9700 107.5616 1325.0602 10,000 120,000 123,191
05-07-2016 98.4900 101.5332 1426.5934 10,000 130,000 140,505
05-08-2016 101.7300 98.2994 1524.8928 10,000 140,000 155,127
06-09-2016 105.3400 94.9307 1619.8235 10,000 150,000 170,632
05-10-2016 107.0000 93.4579 1713.2814 10,000 160,000 183,321
07-11-2016 104.7500 95.4654 1808.7468 10,000 170,000 189,466
05-12-2016 104.5500 95.6480 1904.3948 10,000 180,000 199,104
05-01-2017 106.6000 93.8086 1998.2035 10,000 190,000 213,008
06-02-2017 111.5100 89.6781 2087.8815 10,000 200,000 232,820
06-03-2017 112.5000 88.8889 2176.7704 10,000 210,000 244,887