₹10,000 Monthly SIP in JM Liquid Fund (Regular) - Weekly IDCW for 15 Years
If you had started a ₹10,000/month SIP on 7 Oct 2011 and never stopped — through every crash and rally — here is exactly what happened, using JM Liquid Fund (Regular) - Weekly IDCW's actual NAV for all 181 installments.
You invested
₹18,10,000
181 installments
Value today
₹18,09,990
7 Oct 2026
Absolute gain
₹-10
+0%
XIRR (annualised)
0%
money-weighted
The journey, month by month
Worst fall on the way
-0.2%
Deepest drop from peak. This is what you had to sit through.
Corrections survived
0
Falls of 10%+ during the period. Every one recovered.
Same SIP in a fixed deposit
₹33,48,295
Modelled at historical FD rates. The fund trailed FD by ₹15,38,305.
Year-by-year progress
| Year | Invested | Value | Overall gain |
|---|---|---|---|
| Year 1 (7 Oct 2012) | ₹1,30,000 | ₹1,30,815 | +0.6% |
| Year 2 (7 Oct 2013) | ₹2,50,000 | ₹2,50,994 | +0.4% |
| Year 3 (7 Oct 2014) | ₹3,70,000 | ₹3,70,482 | +0.1% |
| Year 4 (7 Oct 2015) | ₹4,90,000 | ₹4,90,485 | +0.1% |
| Year 5 (7 Oct 2016) | ₹6,10,000 | ₹6,10,637 | +0.1% |
| Year 6 (8 Oct 2017) | ₹7,30,000 | ₹7,30,858 | +0.1% |
| Year 7 (7 Oct 2018) | ₹8,50,000 | ₹8,51,046 | +0.1% |
| Year 8 (7 Oct 2019) | ₹9,70,000 | ₹9,71,039 | +0.1% |
| Year 9 (7 Oct 2020) | ₹10,90,000 | ₹10,90,130 | +0% |
| Year 10 (7 Oct 2021) | ₹12,10,000 | ₹12,10,218 | +0% |
| Year 11 (7 Oct 2022) | ₹13,30,000 | ₹13,30,495 | +0% |
| Year 12 (8 Oct 2023) | ₹14,50,000 | ₹14,51,215 | +0.1% |
| Year 13 (7 Oct 2024) | ₹15,70,000 | ₹15,71,639 | +0.1% |
| Year 14 (7 Oct 2025) | ₹16,90,000 | ₹16,89,718 | +0% |
| Year 15 (7 Oct 2026) | ₹18,10,000 | ₹18,09,990 | +0% |
Best year of the journey: Year 1 (+0.6% market move) · Toughest year: Year 14 (-0.1%)
Wealth Time Machine
Watch this exact journey as a 60-second cinematic replay
Every crash headline, every recovery — with your money in it.
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Same SIP in other Liquid funds
Past performance does not guarantee future returns. This page shows the historical result of the stated SIP using JM Liquid Fund (Regular) - Weekly IDCW's published NAV (source: AMFI) between 7 Oct 2011 and 7 Oct 2026; it is educational research, not investment advice. FD comparison is modelled at historical average FD rates. Mutual fund investments are subject to market risks.
