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Summary Info
Fund Name ICICI Prudential Mutual Fund
Scheme Name ICICI Pru Retirement Fund - Hybrid AP (G)
AMC ICICI Prudential Mutual Fund
Type Open
Category Hybrid - Equity Oriented
Launch Date 07-Feb-19
Fund Manager Manasvi Shah
Net Assets ()Cr 915.91
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio NA NA
Date NA NA
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return 1.30 2.00 5.82 15.98 5.90 20.22 20.69 16.04
Category Avg 0.99 1.90 3.52 10.87 2.81 14.29 16.51 12.76
Category Best 2.46 5.04 10.17 19.79 15.85 24.13 27.33 36.57
Category Worst 0.23 0.44 0.41 4.74 -9.59 6.22 7.79 2.02
Holdings
Company Name No of Shares Market Value Hold %
Interglobe Aviat 81,052 45.76 5.00
M & M 122,636 39.24 4.28
Multi Comm. Exc. 40,917 30.24 3.30
Info Edg.(India) 173,275 23.53 2.57
UPL 324,250 23.21 2.53
Bharti Hexacom 130,000 23.06 2.52
Polycab India 32,224 22.85 2.49
Usha Martin 584,156 22.29 2.43
UltraTech Cem. 16,469 20.82 2.27
Manappuram Fin. 767,057 20.05 2.19
Tech Mahindra 134,228 19.88 2.17
Muthoot Finance 74,916 19.76 2.16
Ambuja Cements 326,674 18.40 2.01
C.E. Info System 104,153 17.12 1.87
Vedanta 399,026 16.79 1.83
Jindal Stain. 212,906 16.24 1.77
Jindal Steel 170,928 16.17 1.77
PB Fintech. 90,000 15.94 1.74
Neuland Labs. 11,619 15.63 1.71
BSE 73,000 15.30 1.67
Power Fin.Corpn. 400,000 15.19 1.66
Hindalco Inds. 214,127 15.07 1.65
P I Industries 33,000 12.19 1.33
CreditAcc. Gram. 78,104 10.93 1.19
JSW Steel 102,835 10.56 1.15
Phoenix Mills 70,000 10.52 1.15
Bharat Forge 88,319 9.77 1.07
Bharti Airtel 49,224 9.30 1.02
Team Lease Serv. 51,658 9.22 1.01
Samvardh. Mothe. 954,963 8.86 0.97
Hind.Aeronautics 20,000 8.67 0.95
SRF 30,000 8.51 0.93
K P R Mill Ltd 85,230 8.41 0.92
Natl. Aluminium 450,000 8.38 0.91
TBO Tek 56,885 7.44 0.81
BEML Ltd 19,131 7.35 0.80
Rategain Travel 135,122 6.92 0.76
Crompton Gr. Con 208,006 6.86 0.75
Astral 50,000 6.80 0.74
Triveni Turbine 128,270 6.66 0.73
Uno Minda 50,000 6.40 0.70
IndusInd Bank 80,000 5.92 0.65
Apar Inds. 7,563 5.85 0.64
Jyoti CNC Auto. 61,798 5.63 0.61
Acutaas Chemical 40,000 5.62 0.61
NOCIL 316,342 5.60 0.61
Atul 8,909 5.59 0.61
V I P Inds. 130,402 5.47 0.60
PG Electroplast 100,000 5.33 0.58
Ratnamani Metals 20,000 4.78 0.52
Pidilite Inds. 15,000 4.58 0.50
KEI Industries 12,000 4.57 0.50
Bharti Airtel PP 30,767 4.45 0.49
APL Apollo Tubes 26,559 4.26 0.47
Aarti Industries 112,345 4.23 0.46
Sonata Software 110,000 3.86 0.42
360 ONE 35,542 3.62 0.40
Navin Fluo.Intl. 7,340 3.44 0.38
Route Mobile 40,000 3.39 0.37
Gland Pharma 17,388 3.25 0.36
Bandhan Bank 200,000 3.24 0.35
Sobha 22,227 3.18 0.35
Archean Chemical 46,274 3.04 0.33
Bajaj Auto 3,463 2.99 0.33
Nippon Life Ind. 37,507 2.94 0.32
SBI Cards 30,000 2.41 0.26
RHI Magnesita 49,566 2.35 0.26
Godrej Propert. 11,638 2.27 0.25
Divgi Torq 35,000 2.27 0.25
Siemens Ener.Ind 5,728 1.93 0.21
Piramal Pharma 100,868 1.85 0.20
Vardhman Textile 42,219 1.79 0.20
Siemens 5,728 1.75 0.19
Astrazeneca Phar 1,863 1.58 0.17
Whirlpool India 10,893 1.42 0.15
Titan Company 3,013 1.09 0.12
Astec Lifescienc 11,910 1.04 0.11
UTI AMC 6,310 0.81 0.09
Mangalore Chem. 20,489 0.71 0.08
Indian Energy Ex 50,000 0.70 0.08
Zee Entertainmen 39,100 0.45 0.05
Bajaj Electrical 5,598 0.32 0.03
Sagar Cements 12,230 0.31 0.03
KSB 2,235 0.18 0.02
N A B A R D 1,500 15.24 1.66
Summit Digitel. 150 14.99 1.64
LIC Housing Fin. 100 10.49 1.15
HDFC Bank 50 5.20 0.57
Muthoot Finance 500 5.07 0.55
Vedanta 500 5.01 0.55
Nirma 350 3.54 0.39
Yes Bank 28 2.79 0.30
Cholaman.Inv.&Fn 200 2.03 0.22
Shriram Finance 200 2.02 0.22
GSEC 1,900,000 19.15 2.09
GSEC 900,000 8.93 0.98
GSEC 765,190 7.81 0.85
GSEC 666,700 6.84 0.75
TREPS 0 29.20 3.19
India Universal Trust AL1 5 3.69 0.40
Net CA & Others 0 3.59 0.39
Cash Margin - Derivatives 0 3.00 0.33
Embassy Off.REIT 26,159 1.01 0.11