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Summary Info
Fund Name ICICI Prudential Mutual Fund
Scheme Name ICICI Pru Innovation Fund - Regular (G)
AMC ICICI Prudential Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 10-Apr-23
Fund Manager Vaibhav Dusad
Net Assets ()Cr 7,125.32
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 1.54 2.85 6.51 17.05 4.25 - - 31.13
Category Avg 0.74 1.74 3.15 11.90 -2.43 18.37 23.54 15.52
Category Best 5.71 6.15 10.07 31.36 16.40 31.65 37.05 49.79
Category Worst -0.73 -2.65 -3.00 -5.29 -17.66 3.01 12.24 -22.24
Holdings
Company Name No of Shares Market Value Hold %
ICICI Bank 2,876,639 402.10 5.64
Bharti Airtel PP 2,355,067 340.30 4.78
Infosys 2,016,981 296.42 4.16
Reliance Industr 2,096,376 284.52 3.99
Axis Bank 2,260,929 236.31 3.32
Maruti Suzuki 158,671 234.69 3.29
M & M 724,485 231.80 3.25
Lupin 1,098,819 208.22 2.92
Pidilite Inds. 681,923 208.01 2.92
TVS Motor Co. 595,677 195.18 2.74
Info Edg.(India) 1,316,148 178.75 2.51
Sun Pharma.Inds. 1,106,672 176.46 2.48
Larsen & Toubro 474,858 171.00 2.40
Godrej Consumer 1,320,070 164.03 2.30
Cummins India 384,563 147.14 2.07
Cams Services 392,139 145.30 2.04
360 ONE 1,418,817 144.45 2.03
Aurobindo Pharma 1,385,890 142.46 2.00
LTIMindtree 277,414 142.41 2.00
Brigade Enterpr. 1,485,678 137.14 1.92
Hyundai Motor I 538,124 132.40 1.86
HDFC Life Insur. 1,703,052 131.48 1.85
Persistent Sys 230,000 122.03 1.71
Sagility India 26,980,852 118.37 1.66
NTPC 3,271,829 107.17 1.50
Aditya AMC 1,239,782 103.53 1.45
KEI Industries 271,168 103.33 1.45
Power Grid Corpn 3,523,558 96.99 1.36
Life Insurance 1,109,262 94.53 1.33
Alkem Lab 177,547 94.16 1.32
Blue Star 488,475 91.92 1.29
Supreme Inds. 193,760 86.63 1.22
Eternal Ltd 2,695,146 84.61 1.19
Dr Reddy's Labs 661,451 83.35 1.17
AIA Engineering 270,078 82.54 1.16
Avenue Super. 167,753 79.78 1.12
Motherson Wiring 18,953,657 78.77 1.11
A B B 156,026 78.00 1.09
Zensar Tech. 981,069 75.36 1.06
Vijaya Diagnost. 720,729 72.64 1.02
Syngene Intl. 1,142,976 71.54 1.00
Divi's Lab. 115,111 70.58 0.99
Samvardh. Mothe. 6,512,856 60.41 0.85
Tube Investments 183,733 54.41 0.76
KSB 540,374 44.63 0.63
Star Health Insu 940,971 42.05 0.59
PG Electroplast 740,126 39.46 0.55
Sona BLW Precis. 772,800 34.24 0.48
Kalpataru Proj. 219,587 27.43 0.38
TD Power Systems 285,305 14.32 0.20
Oswal Pumps 112,572 8.92 0.13
TBILL-91D 3,100,000 30.75 0.43
TBILL-182D 2,800,000 27.89 0.39
TBILL-364D 1,200,000 11.88 0.17
TREPS 0 236.01 3.31
Net CA & Others 0 39.61 0.56
TVS Motor Co. 2,382,708 2.38 0.03
Cash Margin - Derivatives 0 32.19 0.45
Microsoft Corp 17,772 79.11 1.11
Cognizant Tech Solutions 81,355 51.64 0.72
Accenture Plc 18,232 41.64 0.58