No NFO data available for this page.

3 Year return

0
20222022Jul '22Jul '2220232023Jul '23Jul '2320242024
Launched on January 1970 (55 years)

Investment Details

₹NA

Minimum SIP Amount

₹NA

Minimum one time investment

No data found for this scheme

Calculate Returns

Based on past performance of this fund

ENTER AMOUNT

Your Investment ₹3,00,000
Gain
  • Total Value

Risk Involved

There are no records found for Risk Involved Meter.

Scheme Information

Asset Under Management

₹ Cr.

Expense Ratio

% (inclusive of GST)

Exit Load

Ratings

ARQ Rating
0

Ratings by other agencies

0
0
0

Tax Implications

There are no records found for Tax Implications.

Fund Holdings

Holdings
Crores
Other Holdings% of Asset
L&T Metro Rail2.43 %
Motilal Finvest2.35 %
ICICI Bank2.21 %
Yes Bank1.84 %
DLF Cyber City1.75 %
Prestige Estates1.74 %
HDFC Bank1.51 %
Sun Pharma.Inds.1.51 %
Bharti Telecom1.47 %
Tata Housing1.47 %
Embassy Off.REIT1.46 %
Narayana Hrudaya1.46 %
JM Financial Pro1.46 %
IIFL Home Fin.1.46 %
Bharti Airtel1.39 %
Net CA & Others1.39 %
Avanse Fin. Ser.1.32 %
Bharti Telecom1.18 %
GSEC1.17 %
ONGC Petro Add.1.17 %
Maruti Suzuki1.09 %
SBI Life Insuran1.03 %
Torrent Power0.86 %
ITC0.81 %
Land Kart0.78 %
Muthoot Finance0.75 %
Avanse Fin. Ser.0.74 %
Mankind Pharma0.74 %
Shriram Finance0.73 %
Indostar Capital0.73 %
Aadhar Hsg. Fin.0.73 %
Macrotech Devel.0.65 %
Embassy Off.REIT0.61 %
NTPC0.6 %
AAVAS Financiers0.59 %
Hind. Unilever0.59 %
Affle India0.57 %
Aurobindo Pharma0.52 %
Syngene Intl.0.5 %
PVR Inox0.49 %
Aditya Bir. Fas.0.46 %
Infosys0.44 %
PSP Projects0.44 %
Kotak Mah. Bank0.41 %
DME Development0.4 %
ICICI Lombard0.37 %
Eicher Motors0.36 %
Dabur India0.35 %
St Bk of India0.35 %
Godrej Industrie0.35 %
Chemplast Sanmar0.34 %
Orient Electric0.31 %
CIE Automotive0.31 %
Bharti Telecom0.29 %
Kogta Financial0.29 %
Yes Bank0.29 %
HDFC Life Insur.0.28 %
Oberoi Realty0.27 %
ICICI Pru Life0.26 %
INDIA SHELTE FIN0.25 %
CDMDF (Class A2)0.25 %
Mold-Tek Pack.0.25 %
Bata India0.24 %
Suprajit Engg.0.24 %
Jyoti CNC Auto.0.24 %
EPL Ltd0.23 %
Barbeque-Nation0.22 %
Divgi Torq0.22 %
TBILL-182D0.2 %
Nazara Technolo.0.2 %
Avenue Super.0.2 %
DME Development0.19 %
DME Development0.19 %
Gujarat Gas0.19 %
Grasim Inds0.19 %
DME Development0.19 %
DME Development0.19 %
DME Development0.19 %
DME Development0.19 %
TBILL-182D0.18 %
Bajaj Finance0.18 %
Balkrishna Inds0.18 %
DME Development0.18 %
Gujarat Alkalies0.17 %
C P C L0.17 %
DME Development0.16 %
Sheela Foam0.15 %
Sheela Foam0.15 %
Sheela Foam0.15 %
Sheela Foam0.15 %
Nuvoco Vistas0.13 %
Yatra Online0.12 %
UPL0.1 %
CMS Info Systems0.09 %
Sai Silks0.07 %
Cash Margin - Derivatives0.05 %
Gufic BioScience0.04 %
NHPC Ltd0.03 %
Britannia Inds.0 %

NA

There are no records found for Fund Manager

Fund House Details

There are no records found for Fund House Details.

Peer Comparison

Comparison with other similar funds

Schemes by ICICI Prudential Mutual Fund

List of mutual fund schemes by AMC

Funds 3 Years Returns
There are no records found for Other Schemes.

Key Features of The Fund

5-year return NA
Expense Ratio NA
Fund Manager NA
Fund Size NA
Risk Profile NA

AMC Contact Details

Name NA
Launch Date NA
Addresss NA
Contact NA
Email NA
Website NA

Disclaimer: Mutual funds are subject to market risk. Read all scheme-related documents carefully to make informed-decision.

Unlock the Power of Compounding With SIP

Experience the transformative power of compounding with our SIP return calculator, witnessing how your investments can multiply exponentially over time. Embrace the magic of systematic investment planning as you secure your financial future with confidence. With each contribution, you're one step closer to building lasting wealth and financial independence

FAQs

What is today's NAV of ICICI Prudential Regular Savings Fund Direct Plan Monthly IDCW Payout?

NAV, or Net Asset Value, is the price of a single unit of a mutual fund. It is calculated by dividing the current value of holdings held by the mutual fund scheme at the end of the day by the total number of units issued. The NAV changes every day. The NAV of ICICI Prudential Regular Savings Fund Direct Plan Monthly IDCW Payout on Jan 01 1970, is ₹

FAQs

What is today's NAV of ICICI Prudential Regular Savings Fund Direct Plan Monthly IDCW Payout?

NAV, or Net Asset Value, is the price of a single unit of a mutual fund. It is calculated by dividing the current value of holdings held by the mutual fund scheme at the end of the day by the total number of units issued. The NAV changes every day. The NAV of ICICI Prudential Regular Savings Fund Direct Plan Monthly IDCW Payout on Jan 01 1970, is ₹