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Summary Info
Fund Name ICICI Prudential Mutual Fund
Scheme Name ICICI Pru Flexicap Fund - Direct (G)
AMC ICICI Prudential Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 28-Jun-21
Fund Manager Rajat Chandak
Net Assets ()Cr 20,437.47
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 -2.89 -6.25 -5.79 -4.32 15.99 19.21 - 15.45
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 %
TVS Motor Co. 5,114,416 1,979.13 9.68
ICICI Bank 10,742,969 1,481.35 7.25
Maruti Suzuki 960,045 1,426.34 6.98
HDFC Bank 10,580,304 939.27 4.60
Avenue Super. 2,363,843 909.51 4.45
Infosys 4,838,564 629.06 3.08
Eternal 25,439,708 626.58 3.07
Axis Bank 4,136,928 572.51 2.80
SBI 4,486,413 539.13 2.64
Larsen & Toubro 1,223,733 523.55 2.56
Ethos 2,036,070 495.31 2.42
PG Electroplast 7,283,200 457.31 2.24
Interglobe Aviat 940,299 453.90 2.22
Samvardh. Mothe. 33,918,917 452.27 2.21
Azad Engineering 2,581,111 442.20 2.16
P I Industries 1,399,154 436.16 2.13
R R Kabel 2,708,757 423.27 2.07
Travel Food 3,319,037 409.64 2.00
Redtape 30,418,144 357.08 1.75
Sona BLW Precis. 6,412,642 342.76 1.68
Neuland Labs. 265,663 340.71 1.67
SBI Life Insuran 1,487,149 302.96 1.48
Bharti Airtel 1,562,692 293.68 1.44
Britannia Inds. 468,843 281.42 1.38
Netweb Technol. 479,826 185.28 0.91
360 ONE 1,654,848 182.63 0.89
UltraTech Cem. 141,321 179.15 0.88
Blue Star 921,657 178.91 0.88
Eicher Motors 221,503 177.44 0.87
Sharda Motor 1,883,841 175.57 0.86
Shadowfax Techno 14,196,155 171.97 0.84
Jindal Steel 1,375,707 171.17 0.84
LG Electronics 1,040,845 165.39 0.81
Tata Motors 3,012,707 152.23 0.74
HCL Technologies 1,095,606 152.19 0.74
Safari Inds. 846,195 152.08 0.74
Sun Pharma.Inds. 859,719 149.33 0.73
Trent 375,274 146.34 0.72
TVS Holdings 94,447 142.70 0.70
Kotak Mah. Bank 3,000,000 124.56 0.61
Radico Khaitan 464,084 122.96 0.60
Pearl Global Ind 730,335 112.38 0.55
Max Financial 600,722 108.93 0.53
International Ge 3,256,833 107.48 0.53
Apar Inds. 95,941 107.27 0.52
Vijaya Diagnost. 1,050,235 105.50 0.52
Rolex Rings 7,539,360 101.41 0.50
PVR Inox 983,377 100.52 0.49
FSN E-Commerce 3,780,126 100.35 0.49
Kaynes Tech 247,978 95.63 0.47
Greenpanel Inds. 4,370,931 89.92 0.44
Motherson Wiring 19,777,969 85.44 0.42
Sagility 20,923,003 82.75 0.40
Tech Mahindra 605,388 82.20 0.40
Ratnamani Metals 332,292 81.61 0.40
Cholaman.Inv.&Fn 451,969 78.23 0.38
Mphasis 332,725 76.41 0.37
TBO Tek 594,252 72.84 0.36
Sundaram Clayton 469,409 66.74 0.33
Century Plyboard 740,547 54.43 0.27
HDFC AMC 200,000 53.97 0.26
Coforge 400,000 47.43 0.23
Physicswallah 5,277,113 45.68 0.22
Syngene Intl. 801,782 33.85 0.17
Chalet Hotels 412,250 33.31 0.16
Omnitech Engg. 1,409,628 32.00 0.16
Sai Silks 2,192,738 24.76 0.12
Zydus Lifesci. 200,000 18.43 0.09
Prudent Corp. 76,338 17.94 0.09
Crizac 567,131 13.13 0.06
C.E. Info System 88,561 9.16 0.04
G R Infraproject 71,290 6.78 0.03
Ceigall India 45,823 1.30 0.01
TBILL-182D 2,500,000 24.76 0.12
TBILL-91D 2,200,000 21.85 0.11
TBILL-364D 600,000 5.96 0.03
TREPS 0 436.31 2.13
Net CA & Others 0 27.58 0.13
TVS Motor Co. 22,047,744 22.65 0.11
Cash Margin - Derivatives 0 5.55 0.03