ICICI Pru Blended - Plan B Option I (Div-D)
|
ICICI Pru Blended - Plan B Option I (Div-D)
| Summary Info |
|
Fund Name
|
: |
ICICI Prudential Mutual Fund
|
|
Scheme Name
|
: |
ICICI Pru Blended - Plan B Option I (Div-D)
|
|
AMC
|
: |
ICICI Prudential Mutual Fund
|
|
Type
|
: |
Open
|
|
Category
|
: |
Arbitrage Funds
|
|
Launch Date
|
: |
03-Nov-10
|
|
Fund Manager
|
: |
Kayzad Enghlim
|
|
Net Assets (Rs. cr)
|
: |
1,508.12
|
|
|
|
|
|
NAV Date
|
: |
22-May-13
|
|
NAV [Rs.]
|
: |
10.2
|
|
Buy/Resale Price [Rs.]
|
: |
10.15
|
|
Sell/Repurchase Price [Rs.]
|
: |
10.17
|
|
Entry Load %
|
: |
NIL
|
|
Exit Load %
|
: |
0.25% - If the amount sought to be redeemed or switched out is invested for a period of upto forty five days from the date of allotment. Nil - if the amount sought to be redeemed or switched out is invested for a period of more than forty five days from the date of allotment.
|
|
|
|
|
|
|
|
|
|
Performance(%)
* returns above 1 yr. are annualized
|
|
1w
|
1m
|
3m
|
6m
|
1y
|
3y
|
5y
|
Since INC
|
|
Scheme Returns
|
0.2 |
2.1 |
4.0 |
7.0 |
11.5 |
NA |
NA |
9.8 |
|
Category Avg
|
5.8 |
2.7 |
5.4 |
7.7 |
7.3 |
8.2 |
NA |
8.1 |
|
Category Best
|
9.4 |
7.2 |
8.0 |
11.4 |
9.6 |
8.7 |
NA |
9.1 |
|
Category Worst
|
[1.7] |
[0.2] |
4.1 |
5.8 |
6.3 |
7.7 |
NA |
7.3 |
|
|
|
|
|
|
Dividends
|
Bonus
|
|
Ratio
|
0.0632681 % |
NA
|
|
Date
|
21-May-13 |
NA
|
|
|
|
|
Tax Benefits :
|
NA |
|
Min. Investment(Rs.) :
|
5,000.00 |
|
Increm.Investment(Rs.) :
|
1,000.00 |
|
|
|
In
|
|
Name of the Company
|
No of shares
|
|
No fresh investments made in
|
|
|
|
|
Out
|
|
Name of the Company
|
No of shares
|
|
No investments sold out
|
|
|
|
Fund Holdings
As on 31-Mar-2013
| Asset Type | Instrument Name | Industry | Net Assets (%) | No of Shares | Mkt Value (Cr.) | | Debt Investments | | NCD | power finance corporation ltd | AA | 14.9 | 1,500 | 150.0 | | NCD | hdb financial services limited | AA | 10.0 | 1,000 | 100.0 | | NCD | nabard | AA | 9.5 | 950 | 95.1 | | NCD | shriram transport finance company ltd | AA | 2.6 | 250,000 | 25.7 | | NCD | lic housing finance ltd | AA | 2.5 | 250 | 25.2 | | NCD | lic housing finance ltd | AA | 2.5 | 250 | 25.0 | | NCD | l&t shipbuilding limited | AA | 2.5 | 250 | 24.9 | | NCD | lic housing finance ltd | AA | 2.0 | 200 | 20.1 | | NCD | hdfc ltd | AA | 1.5 | 150 | 15.3 | | NCD | nhpc ltd | AAA | 0.5 | 500 | 5.0 | | NCD | nhpc ltd | AAA | 0.5 | 500 | 5.0 | | NCD | nhpc ltd | AAA | 0.5 | 500 | 5.0 | | NCD | nhpc ltd | AAA | 0.5 | 500 | 5.0 | | NCD | nhpc ltd | AAA | 0.5 | 500 | 5.0 | | NCD | nhpc ltd | AAA | 0.5 | 500 | 5.0 | | NCD | nhpc ltd | AAA | 0.5 | 500 | 5.0 | | NCD | nhpc ltd | AAA | 0.5 | 500 | 5.0 | | Government Securities | | Govt. Securities | state government of gujarat | Sovereign | 7.5 | 7,500,000 | 75.7 | | Govt. Securities | state government of karnataka | Sovereign | 7.0 | 7,000,000 | 70.6 | | Govt. Securities | state government of himachal pradesh | Sovereign | 2.5 | 2,500,000 | 25.0 | | Govt. Securities | state government of karnataka | Sovereign | 2.0 | 2,000,000 | 20.2 | | Govt. Securities | state government of karnataka | Sovereign | 1.5 | 1,500,000 | 15.3 | | Money Market Investments | | Certificate of Deposits | punjab national bank | A1+ | 9.2 | 10,000 | 92.0 | | Certificate of Deposits | punjab national bank | A1+ | 7.8 | 8,500 | 78.4 | | Certificate of Deposits | syndicate bank | A1+ | 4.6 | 4,900 | 46.0 | | Certificate of Deposits | oriental bank of commerce | A1 | 2.9 | 3,000 | 29.6 | | Certificate of Deposits | corporation bank | A1 | 2.8 | 3,000 | 27.8 | | Certificate of Deposits | andhra bank | A1+ | 0.5 | 500 | 4.6 | | Cash & Cash Equivalent | | CBLO | cblo | UR / N.A. | 0.6 | NA | 6.1 | | Net CA & Others | other current assets | -/- | [0.8] | NA | [7.7] |
|

|