15 May 2019
I've invested purchased the following Mutual Fund: 1. ADITYA BIRLA INFRASTRUCTURE FUND - GROWTH : 477.995 units on 17-03-2006 at NAV of 10.23. 2. HDFC TOP 100 FUND - REGULAR PLAN - GROWTH : 56.46 units on 02-03-2010 at NAV of 176.55 3. KOTAK EQUITY OPPORTUNITIES FUND-GROWTH : 140.539 units on 30-06-2009 at NAV of 33.59 Now, I redeemed all the units of all the funds above on 11-06-2018 at NAV of 33.94, 447.28 and 14.49 respectively for which I got credited in my bank account a sum of Rs.57647.39961. How can I show all the entries in accounting? Also, how to calculate capital gain. Thanks in advance.