BHUMI JAIN
8955534654
bhumijain159@gmail.com
06 May 1998
BUSINESS
SINGLE
BFKPJ8704C
INDIVIDUAL
Verified
Active
D/O MANOJ JAIN, JAIN MOHALLA , KATISOUR
-, -, - - -

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Preferred Bank
  • Bank : BANK OF BARODA
  • IFSC Code : BARB0PUNJPU
  • Account Type : SAVINGS
  • Account Number : 14510100012377
  • Bank Record Name : BHUMI JAIN
Mandate Not Register Preferred Bank
  • Bank : BANK OF BARODA
  • IFSC Code : BARB0PUNJPU
  • Account Type : SAVINGS
  • Account Number : 14510100012377
  • Bank Record Name : BHUMI JAIN
Mandate Not Register
Invested
₹12,499.78
Current Value
₹12,839.69
Gain / Loss
₹339.91
Return
2.72%
Scheme Folio Invested Current Gain/Loss Return % Units Last Txn
Aditya Birla SL Nifty India Defence Index Fund-Reg (G)
Index Funds
1050003752 ₹3,000.00 ₹2,782.85 ₹-217.15 -7.24% 261.541
Buy Transactions
Date Type Amount Units NAV
20-Feb-2026 Sip ₹3,000.00 261.5410 11.470
Aditya Birla Sun Life Silver ETF FOF-Regular Growth
Sector - Precious Metals
1050003752 ₹3,000.00 ₹3,739.68 ₹739.68 24.66% 79.634
Buy Transactions
Date Type Amount Units NAV
20-Feb-2026 Sip ₹3,000.00 79.6340 37.671
HSBC Midcap Fund - Regular Growth
Mid-Cap
21181425/37 ₹2,000.00 ₹1,890.66 ₹-109.35 -5.47% 4.961
Buy Transactions
Date Type Amount Units NAV
20-Feb-2026 Sip ₹2,000.00 4.9610 403.102
Axis Gold Fund - Regular Plan - Growth Option
Sector - Precious Metals
910208709622 ₹1,999.90 ₹2,000.03 ₹0.13 0.01% 44.801
Buy Transactions
Date Type Amount Units NAV
20-Feb-2026 Sip ₹1,999.90 44.801 44.640
ITI Mid Cap Fund Regular - Growth
Mid-Cap
3107025214 ₹2,499.88 ₹2,426.46 ₹-73.42 -2.94% 115.436
Buy Transactions
Date Type Amount Units NAV
20-Feb-2026 Sip ₹2,499.88 115.436 21.656
Units Alloted Successfully

Units 4.961 has been alloted in SIP of HSBC Midcap Fund - Regular Growth of amount ₹2000 on 23-Feb-2026

₹2,000.00
New
Units Alloted Successfully

Units 79.634 has been alloted in SIP of Aditya Birla Sun Life Silver ETF FOF-Regular Growth of amount ₹3000 on 22-Feb-2026

₹3,000.00
New
Units Alloted Successfully

Units 261.541 has been alloted in SIP of Aditya Birla SL Nifty India Defence Index Fund-Reg (G) of amount ₹3000 on 22-Feb-2026

₹3,000.00
New
Units Alloted Successfully

Units 115.436 has been alloted in SIP of ITI Mid Cap Fund Regular - Growth of amount ₹2500 on 21-Feb-2026

₹2,500.00
New
Units Alloted Successfully

Units 44.801 has been alloted in SIP of Axis Gold Fund - Regular Plan - Growth Option of amount ₹2000 on 21-Feb-2026

₹2,000.00
New

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