ICICI Pru MIP 5 (Div-Hy)

ICICI Pru MIP 5 (Div-Hy)

Summary Info
Fund Name : ICICI Prudential Mutual Fund
Scheme Name : ICICI Pru MIP 5 (Div-Hy)
AMC : ICICI Prudential Mutual Fund
Type : Open
Category : Monthly Income Plans - Short Term
Launch Date : 14-Apr-11
Fund Manager : Avnish Jain
Net Assets (Rs. cr) : 52.42

NAV Details

NAV Date : 24-May-13
NAV [Rs.] : 11.0
Buy/Resale Price [Rs.] : 10.91
Sell/Repurchase Price [Rs.] : 11.02
Entry Load % : Nil
Exit Load % : 1.00% - If the amount sought to be redeemed or switched out, is invested for a period of upto 1 Year from date of allotment. Nil - If redeemed/switched out above 1 Year from the date of allotment.

NAV Chart

Graph: 1m |   3m |   6m |   1y |   3y

Performance(%)

* returns above 1 yr. are annualized

  1w 1m 3m 6m 1y 3y 5y Since INC
Scheme Returns 0.1 2.6 4.8 7.0 11.6 NA NA 9.1
Category Avg 6.2 9.8 [1.4] 3.0 0.4 5.0 6.5 7.0
Category Best 39.3 22.4 13.5 14.0 8.3 10.0 9.0 11.2
Category Worst [22.4] [12.7] [23.7] [11.9] [9.3] 0.6 4.1 3.7

Latest Payouts

  Dividends Bonus
Ratio 4 % NA
Date 20-May-13 NA

Investment Details

Tax Benefits : NA
Min. Investment(Rs.) : 5,000.00
Increm.Investment(Rs.) : 1,000.00

In & Out

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 TypeInstrument NameIndustryNet Assets
(%)
No of SharesMkt Value
(Cr.)
Equity & Equity related Investments
Equityntpc ltd.Power Generation & Distribution1.655,8630.8
Equitybharti airtel ltd.Telecomm-Service1.119,3220.6
Equitynestle india ltd.FMCG0.55720.3
Equitynatco pharma ltd.Pharmaceuticals0.45,0200.2
Equitytorrent pharmaceuticals ltd.Pharmaceuticals0.32,3630.2
Debt Investments
NCDrural electrification corpn ltdAA10.1505.1
NCDidbi bank ltdAA10.0505.1
NCDsyndicate bankAA7.7403.9
NCDreliance gas transporation infrastructure ltdAA6.1303.1
NCDsteel authority of india ltdAAA5.9303.0
NCDpower finance corporation ltdAA4.8242.5
NCDhdfc ltdAA4.0202.0
Government Securities
Govt. Securities8.74state government of karnatakaSovereign14.0700,0007.1
Govt. Securities8.77state government of karnatakaSovereign12.2610,0006.2
Govt. Securities8.84state government of karnatakaSovereign10.0500,0005.1
Term Deposits
Fixed Depositsicici bank ltd-/-0.5NA0.2
Fixed Depositsicici bank ltd-/-0.1NA0.1
Cash & Cash Equivalent
CBLOcbloUR / N.A.7.7NA3.9
Net CA & Othersother current assets-/-3.0NA1.5

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Key Information

Fund House: ICICI Prudential Mutual Fund
Incorporation Date : 22-Jun-1993
Total Assets Managed (Cr.) : 27,503.40
Trustee/s : M S Parthasarathy
Chairman : Chanda Kochar
CEO / MD : Nimesh Shah
CIO : N/A
President : N/A
Director/s : C.R. Muralidharan
Compliance Officer/s : Ms. Supriya Sapre
Investor Service Officer/s : Ms.Kamaljeet Saini
Fund Manager/s : Avnish Jain

Other Information

Auditors :  N/A
Registered Office : 3rd Floor,Hallmark Business Plaza, ,Sant Dyaneshwar Marg, ,Bandra (East), Mumbai 400 051
Contact Nos : 022-26428000
Fax : 022-26554165
Email : enquiry@icicipruamc.com
Website :  www.icicipruamc.com

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