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Summary Info
Fund Name ICICI Prudential Mutual Fund
Scheme Name ICICI Pru Exports and Services Fund (G)
AMC ICICI Prudential Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 13-Oct-05
Fund Manager Sankaran Naren
Net Assets ()Cr 1,377.89
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 -1.69 -6.62 -5.67 -3.28 8.41 18.02 16.06 14.59
Category Avg -2.13 -5.60 -3.92 -3.79 11.28 17.43 14.77 11.86
Category Best 1.53 4.35 11.29 13.82 45.58 33.18 27.72 40.81
Category Worst -5.67 -15.05 -19.55 -20.82 -10.93 1.67 3.37 -20.59
Holdings
Company Name No of Shares Market Value Hold %
Infosys 786,476 102.25 7.42
ICICI Bank 624,116 86.06 6.25
HDFC Bank 868,646 77.11 5.60
Reliance Industr 552,982 77.08 5.59
NTPC 1,500,742 57.31 4.16
Larsen & Toubro 111,875 47.86 3.47
SBI 297,882 35.80 2.60
Angel One 1,526,330 35.59 2.58
Sun Pharma.Inds. 201,607 35.02 2.54
Bharti Airtel 182,672 34.33 2.49
Cams Services 436,105 29.55 2.14
360 ONE 256,906 28.35 2.06
Interglobe Aviat 58,258 28.12 2.04
Life Insurance 301,063 25.57 1.86
Bajaj Finserv 127,301 25.38 1.84
Prudent Corp. 105,887 24.88 1.81
Axis Bank 175,557 24.30 1.76
HCL Technologies 157,260 21.85 1.59
SBI Life Insuran 101,170 20.61 1.50
Avenue Super. 49,948 19.22 1.39
Netweb Technol. 49,042 18.94 1.37
Travel Food 153,070 18.89 1.37
Dr Reddy's Labs 143,635 18.48 1.34
HDFC Life Insur. 252,445 18.06 1.31
Trent 46,247 18.03 1.31
Rainbow Child. 150,073 17.85 1.30
Shadowfax Techno 1,425,441 17.27 1.25
KEC Internationa 275,825 16.14 1.17
Tech Mahindra 117,036 15.89 1.15
IIFL Capital 537,236 15.50 1.12
P I Industries 47,227 14.72 1.07
Zensar Tech. 255,908 14.45 1.05
Info Edg.(India) 136,100 14.01 1.02
Bajaj Auto 13,665 13.63 0.99
Phoenix Mills 79,905 13.25 0.96
Rolex Rings 918,184 12.35 0.90
Shilpa Medicare 352,687 11.87 0.86
Canara HSBC 776,674 11.12 0.81
Mahindra Holiday 381,603 10.85 0.79
Rubicon Research 136,235 10.63 0.77
REC Ltd 300,000 10.49 0.76
Techno Elec.Engg 89,338 10.48 0.76
Apollo Hospitals 13,235 10.35 0.75
TCS 38,848 10.25 0.74
Vinati Organics 63,051 9.28 0.67
Container Corpn. 185,868 9.21 0.67
I R C T C 160,828 9.16 0.66
Bajaj Holdings 7,683 8.30 0.60
Jupiter Life Lin 62,928 7.94 0.58
Bajaj Finance 74,000 7.37 0.53
Aarti Pharma 100,000 7.24 0.53
Ethos 29,596 7.20 0.52
Laxmi Dental 318,345 6.13 0.44
ICICI Lombard 31,000 5.89 0.43
Avanti Feeds 44,247 5.68 0.41
SIS 162,878 4.97 0.36
Thyrocare Tech. 108,625 4.28 0.31
TREPS 0 74.98 5.44
Net CA & Others 0 -4.01 -0.29
Cash Margin - Derivatives 0 34.51 2.50