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Mutual Fund SIP Calculator
Mutual Fund SIP Calculator
Data as on - 10-10-2025
Select Category
All
Childrens Fund
Debt: Banking and PSU
Debt: Corporate Bond
Debt: Credit Risk
Debt: Dynamic Bond
Debt: Floater
Debt: Gilt
Debt: Gilt Fund with 10 year constant duration
Debt: Liquid
Debt: Long Duration
Debt: Low Duration
Debt: Medium Duration
Debt: Medium to Long Duration
Debt: Money Market
Debt: Overnight
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Debt: Ultra Short Duration
Equity: Contra
Equity: Dividend Yield
Equity: ELSS
Equity: Flexi Cap
Equity: Focused
Equity: Large and Mid Cap
Equity: Large Cap
Equity: Mid Cap
Equity: Multi Cap
Equity: Sectoral-Banking and Financial Services
Equity: Sectoral-FMCG
Equity: Sectoral-Infrastructure
Equity: Sectoral-Pharma and Healthcare
Equity: Sectoral-Technology
Equity: Small Cap
Equity: Thematic-Active-Momentum
Equity: Thematic-Business-Cycle
Equity: Thematic-Consumption
Equity: Thematic-Energy
Equity: Thematic-ESG
Equity: Thematic-Innovation
Equity: Thematic-International
Equity: Thematic-Manufacturing
Equity: Thematic-MNC
Equity: Thematic-Multi-Sector
Equity: Thematic-Others
Equity: Thematic-PSU
Equity: Thematic-Quantitative
Equity: Thematic-Special-Opportunities
Equity: Thematic-Transportation
Equity: Value
ETFs
Fund of Funds-Domestic-Debt
Fund of Funds-Domestic-Equity
Fund of Funds-Domestic-Gold
Fund of Funds-Domestic-Gold and Silver
Fund of Funds-Domestic-Hybrid
Fund of Funds-Domestic-Silver
Fund of Funds-Income Plus Arbitrage
Fund of Funds-Overseas
Hybrid: Aggressive
Hybrid: Arbitrage
Hybrid: Balanced
Hybrid: Conservative
Hybrid: Dynamic Asset Allocation
Hybrid: Equity Savings
Hybrid: Multi Asset Allocation
Index Fund
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Fund 5
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* To see SIP Returns with Yearly Enhancements scroll down to bottom of the Cash Flow table.
Summary
Fund Name
Launch Date
Nav Date
Nav
Units
No of
Installments
Investment
Amount
SIP value as on
11-10-2025
SIP value as on
XIRR (%)
as on
Action
HDFC Large Cap Fund - Growth Option - Regular Plan
01-10-1996
10-10-2025
1146.57
30.03
11
33,000
34,432
34,432
8.87
Cash Flow
HDFC Large Cap Fund - Growth Option - Regular Plan
Nav Date
Nav
Cumulative Units
Cumulative Invested Amount
Market Value
11-11-2024
1114.59
2.6916
3,000
3,000
11-12-2024
1137.468
5.329
6,000
6,062
13-01-2025
1059.188
8.1614
9,000
8,644
11-02-2025
1057.285
10.9989
12,000
11,629
11-03-2025
1027.479
13.9187
15,000
14,301
11-04-2025
1047.182
16.7835
18,000
17,575
12-05-2025
1128.213
19.4426
21,000
21,935
11-06-2025
1137.745
22.0794
24,000
25,121
11-07-2025
1139.282
24.7126
27,000
28,155
11-08-2025
1119.415
27.3926
30,000
30,664
11-09-2025
1137.491
30.03
33,000
34,159
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