Latest NAV
₹14.9400
1Y return
+61.17%
3Y CAGR
-
5Y CAGR
-
Since launch (CAGR)
+16.56%
ICICI Prudential Value Fund - Series 19 is a growth mutual fund from ICICI Prudential Mutual Fund, launched on 3 July 2018. Its latest NAV is ₹14.9400 (as of 24 June 2021). It has returned +61.17% in the last year. Figures shown are for the regular plan, growth option. Past returns do not guarantee future returns.
1Y change
+61.17%
Average yearly growth (CAGR) for every period with data; 1 year is the simple return. NAV data available from 3 July 2018.
This scheme invests according to its offer document.
The full list of stocks and bonds this fund holds is published every month by ICICI Prudential Mutual Fund on its website (monthly portfolio disclosure).
Return in each calendar year from 2019. The current year is year to date.
Invested every month on the same date (next working day if closed), valued at today's NAV. XIRR is the yearly return on your SIP.
1 year ago
How much this fund's NAV has moved up and down.
Typical yearly swing. Higher means a bumpier ride.
From 27 June 2019 to 23 March 2020.
Lowest and highest NAV in the last year.
The latest NAV of ICICI Prudential Value Fund - Series 19 is ₹14.9400 as of 24 June 2021. NAV is updated every business day from AMFI data.
ICICI Prudential Value Fund - Series 19 has returned +61.17% in the last year. Since launch it has grown +16.56% a year.