banner_ad

Entry in books of accounts

This query is : Resolved 

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.


06 June 2019 create separate account for each mutual fund


You need to be the querist or approved CAclub expert to take part in this query .
Click here to login now


CCI Pro

Similar Resolved Queries


loading


Unanswered Queries



CCI Pro
Meet our CAclubindia PRO Members

Follow us
add to google news


Answer Query



Company
Featured 27 May 2026
Lead Conversion Executive / Sales Closing Executive

SMJ global advisors pvt ltd

New Delhi

B.Com

View Details
Company
18 May 2026
MIS Executive

Primarc Pecan Retail Limited

Mumbai

B.Com

View Details
Company
29 May 2026
Company Secretary - Part time

Shaswat initial support private limited

Ahmedabad

CS

View Details
Company
19 May 2026
Accountant

ca kunjan

Mumbai

CA Inter

View Details
Company
23 May 2026
Article Assistant

Geeta Manchanda & CO.

New Delhi

CA Inter

View Details
Company
04 June 2026
Semi Qualified CA

Goyal Puneet & Associates

New Delhi

CA Final

View Details
Company
12 June 2026
Accounts & Taxation Executive

Winshine Financial Services

Mumbai

CA Inter

View Details
Company
ARTICLESHIP 28 May 2026
Accounts, Audit & Compliance Executive

Shyam Joshi & Associates

Pune

B.Com

View Details