Mutual Fund SIP Live Return




SIP Live Return as on 07-09-2026

Amount Invested

: 105000.0

Value on SIP End

: 103880.45

Value Today

: 103880.45

Annual Return (%)

: -1.25 %

SIP Cash Flow

Cash Flow

SBI Quant Fund- Regular Plan- Growth
Sl No. Date NAV Start Amount Units Value of Today NAV End Cumulative Amount Value That Time Value Today
1 31-12-2024 9.98 5,000 500.79 4,784 9.55 5000.0 4999.999656659999 4784.0
2 31-01-2025 9.39 5,000 532.69 5,089 9.55 10000.0 9700.579703520001 9873.0
3 03-03-2025 8.79 5,000 568.78 5,434 9.55 15000.0 14084.940391289998 15306.0
4 31-03-2025 9.18 5,000 544.55 5,202 9.55 20000.0 19711.74240217 20508.0
5 02-05-2025 9.31 5,000 536.98 5,130 9.55 25000.0 24989.7537477 25638.0
6 31-05-2025 9.45 5,000 528.85 5,052 9.55 30000.0 30373.802771399998 30690.0
7 01-07-2025 9.93 5,000 503.68 4,812 9.55 35000.0 36891.44865859 35502.0
8 31-07-2025 9.5 5,000 526.34 5,028 9.55 40000.0 40303.46939035999 40530.0
9 31-08-2025 9.2 5,000 543.5 5,192 9.55 45000.0 44031.099076469996 45722.0
10 01-10-2025 9.52 5,000 525.46 5,020 9.55 50000.0 50542.5640558 50742.0
11 31-10-2025 9.85 5,000 507.63 4,849 9.55 55000.0 57317.17054464001 55591.0
12 01-12-2025 10.16 5,000 492.2 4,702 9.55 60000.0 64114.15139696 60293.0
13 31-12-2025 10.41 5,000 480.4 4,589 9.55 65000.0 70689.4873728 64882.0
14 31-01-2026 10.46 5,000 478.1 4,567 9.55 70000.0 76029.079581 69450.0
15 04-03-2026 10.15 5,000 492.54 4,705 9.55 75000.0 78800.84109875001 74155.0
16 31-03-2026 9.13 5,000 547.45 5,230 9.55 80000.0 75896.30473524 79385.0
17 04-05-2026 9.74 5,000 513.15 4,902 9.55 85000.0 85969.52059685999 84287.0
18 31-05-2026 9.61 5,000 520.18 4,969 9.55 90000.0 89807.5198908 89256.0
19 01-07-2026 9.61 5,000 520.25 4,970 9.55 95000.0 94795.37395108 94226.0
20 31-07-2026 9.91 5,000 504.47 4,819 9.55 100000.0 102761.3357316 99045.0
21 31-08-2026 9.88 5,000 506.12 4,835 9.55 105000.0 107425.41270989999 103880.0
07-09-2026 10,874.12 9.55 103880.45