PUSHPA OSTWAL
9799876899
ostwalrajendra65@gmail.com
15 Nov 1965
BUSINESS
SINGLE
AAJPO3195R
INDIVIDUAL
Verified
Active
W/O RAJENDRA KUMAR OSTWAL , NEAR BUS STAND
-, -, - - -

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Description
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Preferred Bank
  • Bank : HDFC BANK
  • IFSC Code : HDFC0000119
  • Account Type : SAVINGS
  • Account Number : 50100312370120
  • Bank Record Name : PUSHPA OSTWAL
Mandate Not Register Other Bank
  • Bank : ICICI BANK LIMITED
  • IFSC Code : ICIC0006933
  • Account Type : SAVINGS
  • Account Number : 666301179270
  • Bank Record Name : PUSHPA OSTWAL
Mandate Not Register
Invested
₹24,999.25
Current Value
₹24,391.56
Gain / Loss
₹-607.69
Return
-2.43%
Scheme Folio Invested Current Gain/Loss Return % Units Last Txn
HSBC Financial Services Fund - Regular (G)
Sector - Financial Services
21204506/52 ₹10,000.00 ₹9,596.42 ₹-403.58 -4.04% 815.613
Buy Transactions
Date Type Amount Units NAV
27-Feb-2026 Sip ₹10,000.00 815.6130 12.260
ITI Mid Cap Fund Regular - Growth
Mid-Cap
3107047923 ₹4,999.75 ₹4,834.10 ₹-165.65 -3.31% 229.976
Buy Transactions
Date Type Amount Units NAV
27-Feb-2026 Sip ₹4,999.75 229.976 21.740
LIC MF Large Cap Fund-Regular Plan-Growth
Large-Cap
57733906376 ₹4,999.75 ₹4,956.12 ₹-43.63 -0.87% 90.987
Buy Transactions
Date Type Amount Units NAV
27-Feb-2026 Sip ₹4,999.75 90.987 54.950
Invesco India Smallcap Fund - Regular Plan - Growth
Small-Cap
31025795585 ₹4,999.75 ₹5,004.92 ₹5.17 0.1% 129.527
Buy Transactions
Date Type Amount Units NAV
12-Mar-2026 Sip ₹4,999.75 129.527 38.600
Units Alloted Successfully

Units 90.987 has been alloted in SIP of LIC MF Large Cap Fund-Growth of amount ₹5000 on 28-Feb-2026

₹5,000.00
New
Units Alloted Successfully

Units 229.976 has been alloted in SIP of ITI Mid Cap Fund Regular - Growth of amount ₹5000 on 28-Feb-2026

₹5,000.00
New
Units Alloted Successfully

Units 815.613 has been alloted in SIP of HSBC Financial Services Fund - Regular (G) of amount ₹10000 on 28-Feb-2026

₹10,000.00
New

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