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ICICI Prudential Value Fund Growth

ICICI Prudential Value Fund Growth

+16.13%
3Y annualised
+0.28% 1D
1M
6M
1Y
3Y
5Y
All
NAV: 19 Jun '26
?460.74
Min. for SIP
?100
Fund size (AUM)
?58,954.43 Cr
Expense ratio
1.55%
Rating
5

Return calculator

Monthly investment
?5,000
Over the pastTotal investmentWould've becomeHistoric returnsReturns
1 year?60,000?59,028
-1.62%
3 years?1,80,000?1,99,463
+10.81%
5 years?3,00,000?4,16,145
+38.71%
10 years?6,00,000?13,96,398
+132.73%

Holdings (79)

NameSectorInstrumentsAssets
HDFC Bank LtdFinancialEquity9.12%
ICICI Bank LtdFinancialEquity9.03%
Infosys LtdTechnologyEquity6.17%
ITC LtdConsumer StaplesEquity4.88%
Reliance Industries LtdEnergy & UtilitiesEquity4.82%
Sun Pharmaceutical Industries LtdHealthcareEquity4.72%
Tata Consultancy Services LtdTechnologyEquity3.65%
RepoUnspecifiedRepo3.40%
Maruti Suzuki India LtdConsumer DiscretionaryEquity3.37%
Axis Bank LtdFinancialEquity2.99%
Hindustan Unilever LtdConsumer StaplesEquity2.98%
NTPC LtdEnergy & UtilitiesEquity2.43%
SBI Life Insurance Company LtdFinancialEquity2.42%
Dr. Reddy's Laboratories LtdHealthcareEquity2.15%
HDFC Life Insurance Co LtdFinancialEquity2.07%
State Bank of IndiaFinancialEquity1.96%
Bharti Airtel LtdTechnologyEquity1.93%
Larsen & Toubro LtdIndustrialsEquity1.88%
Oil & Natural Gas Corporation LtdEnergy & UtilitiesEquity1.76%
Kotak Mahindra Bank LtdFinancialEquity1.73%
Bajaj Finserv LtdFinancialEquity1.59%
Tata Motors LtdConsumer DiscretionaryEquity1.50%
Hyundai Motor India Ltd.Consumer DiscretionaryEquity1.41%
Asian Paints LtdMaterialsEquity1.39%
Cipla LtdHealthcareEquity1.32%
Tata Motors LtdIndustrialsEquity1.30%
Life Insurance Corporation of IndiaFinancialEquity1.28%
Tata Steel LtdMaterialsEquity1.21%
Ultratech Cement LtdMaterialsEquity1.16%
LIC Housing Finance LtdFinancialEquity1.10%
ICICI Lombard General Insurance Company LtdFinancialEquity1.05%
Biocon LtdHealthcareEquity0.74%
Akzo Nobel India LtdMaterialsEquity0.68%
Hero Motocorp LtdConsumer DiscretionaryEquity0.62%
Pfizer LtdHealthcareEquity0.60%
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA 182D CP 03JUN26FinancialCommercial Paper0.59%
Gujarat Gas LtdEnergy & UtilitiesEquity0.58%
Mphasis LtdTechnologyEquity0.56%
Pidilite Industries LtdMaterialsEquity0.52%
Central Bank of IndiaFinancialEquity0.48%
Adani Wilmar LtdConsumer StaplesEquity0.47%
Godrej Consumer Products LtdConsumer StaplesEquity0.45%
Container Corporation Of India LtdIndustrialsEquity0.44%
JK Lakshmi Cement LtdMaterialsEquity0.43%
HDB FINANCIAL SERVICES LIMITED EQFinancialEquity0.41%
GAIL (India) LtdEnergy & UtilitiesEquity0.36%
HCL Technologies LtdTechnologyEquity0.35%
GOVERNMENT OF INDIA 36907 182 DAYS TBILL 09JL26 FV RS 100FinancialTreasury Bills0.35%
Tata Chemicals LtdMaterialsEquity0.34%
Hyundai Motor India Ltd. $$Consumer DiscretionaryFutures0.33%
Bharat Petroleum Corporation LtdEnergy & UtilitiesEquity0.33%
V-Guard Industries LtdIndustrialsEquity0.31%
LG Electronics India Ltd.Consumer DiscretionaryEquity0.30%
Indusind Bank LtdFinancialEquity0.29%
ICICI Bank Ltd FuturesFinancialFutures0.28%
Canara HSBC Life Insurance Company Ltd.FinancialEquity0.28%
Lupin LtdHealthcareEquity0.25%
Dabur India LtdConsumer StaplesEquity0.25%
Galaxy Surfactants LtdMaterialsEquity0.22%
Sundaram-Clayton LtdConsumer DiscretionaryEquity0.21%
Cash MarginUnspecifiedCash Margin0.18%
Bata India LtdConsumer DiscretionaryEquity0.18%
Gateway Distriparks LtdIndustrialsEquity0.17%
Suven Pharmaceuticals LtdHealthcareEquity0.17%
GOVERNMENT OF INDIA 36116 364 DAYS TBILL 25JU26 FV RS 100FinancialTreasury Bills0.16%
ACC LtdMaterialsEquity0.11%
GOVERNMENT OF INDIA 37341 091 DAYS TBILL 09JL26 FV RS 100FinancialTreasury Bills0.10%
364 Day T-BILL 09 July 2026FinancialTreasury Bills0.09%
JIO CREDIT LIMITED 71D CP 25JUN26FinancialCommercial Paper0.08%
TTK Prestige LtdConsumer DiscretionaryEquity0.06%
364 Days TBill (MD 11/06/2026)FinancialTreasury Bills0.05%
GOVERNMENT OF INDIA 36813 182 DAYS TBILL 11JU26 FV RS 100FinancialTreasury Bills0.05%
GOVERNMENT OF INDIA 37410 091 DAYS TBILL 30JL26 FV RS 100FinancialTreasury Bills0.04%
GOVERNMENT OF INDIA 36043 364 DAYS TBILL 04JU26 FV RS 100FinancialTreasury Bills0.03%
Vinati Organics LtdMaterialsEquity0.03%
HDFC SECURITIES LIMITED 91D CP 05JUN26FinancialCommercial Paper0.03%
Bharat Petroleum Corpn. Ltd FuturesEnergy & UtilitiesFutures-0.16%
Indusind Bank Ltd FuturesFinancialFutures-0.26%
Net PayablesUnspecifiedNet Payables-0.92%
See All

Minimum investments

Min. for 1st investment
?1,000
Min. for 2nd investment
?500
Min. for SIP
?100

Returns and rankings

Annualised returns
Absolute returns
Name3Y5Y10YAll
Fund returns+16.1%+16.9%+14.8%+19.2%
Category average (Equity Value Oriented)+19.2%+18.8%+14.7%--
Rank (Equity Value Oriented)1226--

Exit load, stamp duty and tax

Exit load

Exit load of 1% if redeemed within 12 months

Stamp duty on investment: 0.005% (from July 1st, 2020)

from July 1st 2020

Tax implication

If you redeem within one year, returns are taxed at 20%. If you redeem after one year, returns exceeding Rs 1.25 lakh in a financial year are taxed at 12.5%.
Check past data

Fund management

SN
Sankaran Naren
Jan 2021 - Present
View details

Education
Mr. Naren is a B.Tech from IIT Chennai and MBA (Finance)from IIM Kolkata.
Experience
Prior to joining ICICI Prudential AMC he has worked with Refco Sify Securities India Pvt. Ltd., HDFC Securities Ltd. and Yoha Securities.

SD
Sharmila D'Silva
Jul 2022 - Present
View details

Education
Ms. D'Silva is CA and BAF
Experience
She joined ICICI Prudential AMC Limited in September 2016.
Also manages these schemes

DK
Dharmesh Kakkad
Jan 2021 - Present
View details

About ICICI Prudential Value Fund Growth

ICICI Prudential Value Fund Growth is a Equity Mutual Fund Scheme launched by ICICI Prudential Mutual Fund. This scheme was made available to investors on 12 Oct 1993. Sankaran Naren is the Current Fund Manager of ICICI Prudential Value Fund Growth fund. The fund currently has an Asset Under Management(AUM) of ?11,18,142 Cr and the Latest NAV as of 19 Jun 2026 is ?460.74. The ICICI Prudential Value Fund Growth is rated Very High risk. Minimum SIP Investment is set to ?100. Minimum Lumpsum Investment is ?1,000. Exit load of 1% if redeemed within 12 months ;

Investment Objective

The scheme seeks to generate returns through a combination of dividend income and capital appreciation by investing primarily in a well-diversified portfolio of value stocks.
Fund benchmarkNIFTY 500 Total Return Index

Fund house

Rank (total assets)#3 in India
Total AUM?11,18,141.85 Cr
Date of Incorporation12 Oct 1993
Phone--
E-mail--
Launch Date12 Oct 1993
AddressOne BKC , A Wing ,13th Floor, Bandra Kurla Complex, Mumbai 400051
CustodianSBI SG Global Securities Services Pvt.Ltd.
Registrar & Transfer AgentCams
Address7th Floor, Tower II, Rayala Towers, 158, Anna Salai,

銀行貸款 小額借貸 線上貸款 汽車貸款 手機貸 瘋正妹 橘子影城 古蹟交流社 東森新聞手機板 東森新聞 港書館 super娛樂城 金鈦城娛樂城 信用版娛樂城 贏家娛樂城 WG娛樂城

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