VIVEK KAKKAR
9828222234
vivek.k.jaipur@gmail.com
01 Mar 1985
SERVICE
SINGLE
AVSPK3635N
INDIVIDUAL
Verified
Active
S/O SUBHASH CHANDRA KAKKAR , FLAT NO A011, BLOCK A, SHANTI NAGAR
-, -, - - -

General Information : General information for your lead
Edit Lead
Status
Source
Default Language
Privacy
Description
Lorem ipsum, dolor sit amet consectetur adipisicing elit. Molestiae, nulla veniam, ipsam nemo autem fugit earum accusantium reprehenderit recusandae in minima harum vitae doloremque quasi aut dolorum voluptate. Minima, deleniti.Lorem ipsum, dolor sit amet consectetur adipisicing elit. Molestiae, nulla veniam, ipsam nemo autem fugit earum accusantium reprehenderit recusandae in minima harum vitae doloremque quasi aut dolorum voluptate.
Preferred Bank
  • Bank : AXIS BANK
  • IFSC Code : UTIB0000626
  • Account Type : SAVINGS
  • Account Number : 910010034712787
  • Bank Record Name : VIVEK KAKKAR
Mandate Not Register
Invested
₹9,999.85
Current Value
₹10,059.39
Gain / Loss
₹59.54
Return
0.6%
Scheme Folio Invested Current Gain/Loss Return % Units Last Txn
Aditya Birla SL Nifty India Defence Index Fund-Reg (G)
Index Funds
1049589277 ₹2,000.00 ₹1,801.35 ₹-198.65 -9.93% 169.297
Buy Transactions
Date Type Amount Units NAV
09-Mar-2026 Sip ₹2,000.00 169.2970 11.813
HDFC Silver ETF Fund of Fund - Growth Option
Sector - Precious Metals
33093209/67 ₹1,500.00 ₹1,786.46 ₹286.46 19.1% 35.536
Buy Transactions
Date Type Amount Units NAV
09-Mar-2026 Sip ₹1,500.00 35.5360 42.209
HDFC Pharma and Healthcare Fund - Regular (G)
Sector - Healthcare
33093209/67 ₹1,000.00 ₹943.95 ₹-56.05 -5.6% 57.544
Buy Transactions
Date Type Amount Units NAV
09-Mar-2026 Sip ₹1,000.00 57.5440 17.377
Bandhan Small Cap Fund Regular Growth
Small-Cap
5531819/79 ₹1,000.00 ₹1,027.95 ₹27.95 2.79% 23.656
Buy Transactions
Date Type Amount Units NAV
09-Mar-2026 Sip ₹1,000.00 23.6560 42.270
Kotak Gold Fund Growth
Sector - Precious Metals
17621766 ₹1,500.00 ₹1,461.79 ₹-38.21 -2.55% 24.703
Buy Transactions
Date Type Amount Units NAV
09-Mar-2026 Sip ₹1,500.00 24.7030 60.718
ITI Mid Cap Fund Regular - Growth
Mid-Cap
3106866342 ₹999.95 ₹1,014.93 ₹14.98 1.5% 48.284
Buy Transactions
Date Type Amount Units NAV
09-Mar-2026 Sip ₹999.95 48.284 20.710
Motilal Oswal Midcap Fund-Regular Plan-Growth Option
Mid-Cap
91094406494 ₹999.95 ₹1,068.84 ₹68.89 6.89% 11.679
Buy Transactions
Date Type Amount Units NAV
09-Mar-2026 Sip ₹999.95 11.679 85.622
LIC MF Infrastructure Fund-Regular Plan-Growth
Equity - Infrastructure
57733094072 ₹999.95 ₹954.12 ₹-45.83 -4.58% 20.814
Buy Transactions
Date Type Amount Units NAV
09-Mar-2026 Sip ₹999.95 20.814 48.042
Units Alloted Successfully

Units 20.814 has been alloted in SIP of LIC MF Infrastructure Fund-Growth of amount ₹1000 on 10-Mar-2026

₹1,000.00
New
Units Alloted Successfully

Units 24.703 has been alloted in SIP of Kotak Gold Fund Growth of amount ₹1500 on 10-Mar-2026

₹1,500.00
New
Units Alloted Successfully

Units 11.679 has been alloted in SIP of Motilal Oswal Midcap Fund-Regular Plan-Growth Option of amount ₹1000 on 10-Mar-2026

₹1,000.00
New
Units Alloted Successfully

Units 23.656 has been alloted in SIP of Bandhan Small Cap Fund Regular Growth of amount ₹1000 on 10-Mar-2026

₹1,000.00
New
Units Alloted Successfully

Units 57.544 has been alloted in SIP of HDFC Pharma and Healthcare Fund - Regular (G) of amount ₹1000 on 10-Mar-2026

₹1,000.00
New

No comments yet!

There is no comments posted yet.