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Asset Size:1581Cr
Expense Ratio:1.95%
Fund Manager(s):Manish Banthia,Rajat Chandak,
5year Returns:7.51%

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ICICI Prudential Regular Savings Fund Growth

ICICI Prudential       

Balanced Debt
Conservative Allocation

Nav : 44.0154 ( 0.06%) May 22nd, 2020

People currently viewing this : 1

Rank (of 245)

1

Annualized Returns(5 yrs)

7.51%

Investment Horizon

1-3 Yr

Doubled Money

9yrs 7m

Returns since March 30th, 2004

9.61%

Min Investment ₹100

Amount Invested

57.2L

Projected Wealth Gained

35.7L

Projected Maturity Amount

92.9L

ICICI Prudential     

Balanced Debt
Conservative Allocation

Nav : 44.0154 ( 0.06%) May 22nd, 2020

People currently viewing this : 1

Upwardly's Take :

Conservative investors looking for a very little equity exposure should invest in this fund to gain tax benefits with an investment horizon of at least 3 years. Effective tax rate can be lower than 5%.

Ideal for a short term goal like vacation, down-payment for home, wedding and car purchase.

Min Investment ₹100

Amount Invested

57.2L

Projected Wealth Gained

35.7L

Projected Maturity Amount

92.9L

Rank (of 245)

1

Annualized Returns(5 yrs)

7.51%

Investment Horizon

1-3 Yr

Doubled Money

9yrs 7m

Returns since March 30th, 2004

9.61%

FUND PAST PERFORMANCE

Fund's historical return with Fixed Deposit



Invested for

3m
6m
1y
3y
5y

3 and 6 Months returns are absolute

Assuming 30% tax bracket

FUND MULTIPLIER

Time it would have taken to make your money double (2x), quadruple (4x) and quintuple (5x)

Time Take To Multiply

2x
4x
5x

TOP 5 HOLDING INVESTED IN

TOP 5 SECTORS INVESTED IN

FUND DETAIL INFORMATION

To generate regular income through investments predominantly in debt and money market instruments. The Scheme also seeks to generate long term capital appreciation from the portion of equity investments under the Scheme. However,there is no assurance or guarantee that the investment objective of the Scheme would be achieved.

Basic Details
Fund House
ICICI Prudential
Launch Date
March 30th, 2004
Expense Ratio
1.95%
Fund Category Risk
Moderate
Std Dev (1Yr)
5.895
Std Dev (3Yr)
4.246
Std Dev (5Yr)
4.724
Asset Size
1581Cr
Investment Details
Investment Plan
Growth
Return since Launch
9.61 %
Exit Load
1% if withdrawn within 1 Year(s)
No exit load if withdrawn after 1 Year(s)
Contact Details
Phone No.
+91 22 26428000