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ICICI Prudential Fund Portfolio Overview

1. The document contains portfolio details of various mutual funds managed by ICICI Prudential Mutual Fund as of June 30, 2020. 2. It provides information on the underlying investments, including names of instruments and mutual funds, quantities held, and market values. 3. The largest allocations across the different funds are to equity mutual funds, with exposures ranging from 24.86% to 99.02% of the net asset values.

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0% found this document useful (0 votes)
16 views18 pages

ICICI Prudential Fund Portfolio Overview

1. The document contains portfolio details of various mutual funds managed by ICICI Prudential Mutual Fund as of June 30, 2020. 2. It provides information on the underlying investments, including names of instruments and mutual funds, quantities held, and market values. 3. The largest allocations across the different funds are to equity mutual funds, with exposures ranging from 24.86% to 99.02% of the net asset values.

Uploaded by

hidulfi
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as XLSX, PDF, TXT or read online on Scribd

A B C D E

1 ICICI Prudential Mutual Fund


2 ICICI Prudential Passive Strategy Fund (FOF)
3 Portfolio as on Jun 30,2020
4 Company/Issuer/Instrument Name ISIN Industry/Rating Quantity
5 Units of Mutual Funds
6 ICICI Prudential S&P BSE 500 ETF INF109KC1CZ3 Mutual Fund 2240765
7 ICICI Prudential Midcap 150 ETF INF109KC1G82 Mutual Fund 4853597
8 BHARAT 22 ETF INF109KB15Y7 Mutual Fund 4499100
9 ICICI Prudential Nifty Low Vol 30 ETF INF109KB10T8 Mutual Fund 1246477
10
11 TREPS
12
13 Net Current Assets
14 Total Net Assets
15
16
17 For the Instrument/security whose final ISIN is yet to be assigned, disclosure of ISIN has been made as per the details provid
F G H
Mutual Fund
1
2
3
4 Exposure/Market Value([Link]) % to Nav
5 8078.97 99.42%
6 3103.91 38.20%
7 2757.33 33.93%
8 1142.77 14.06%
9 1074.96 13.23%
10
11 33.72 0.41%
12
13 13.03 0.16%
14 8125.72 100.00%
15
16
as 17
been made as per the details provided by external agencies.
A B C D E
1 ICICI Prudential Mutual Fund
2 ICICI Prudential BHARAT 22 FOF
3 Portfolio as on Jun 30,2020
4 Company/Issuer/Instrument Name ISIN Industry/Rating Quantity
5 Units of Mutual Funds
6 BHARAT 22 ETF INF109KB15Y7 Mutual Fund 5872773
7
8 TREPS
9
10 Net Current Assets
11 Total Net Assets
12
13
14 For the Instrument/security whose final ISIN is yet to be assigned, disclosure of ISIN has been made as per the details provid
F G H
Mutual Fund
1
2
3
4 Exposure/Market Value([Link]) % to Nav
5 1491.68 98.98%
6 1491.68 98.98%
7
8 21.90 1.45%
9
10 -6.51 -0.43%
11 1507.07 100.00%
12
13
as 14
been made as per the details provided by external agencies.
A B C D E
1 ICICI Prudential Mutual Fund
2 ICICI Prudential Income Optimizer Fund (FOF)
3 Portfolio as on Jun 30,2020
4 Company/Issuer/Instrument Name ISIN Industry/Rating Quantity
5 Units of Mutual Funds
6 ICICI Prudential Medium Term Bond Fund - Direct Plan - Growth INF109K015A5 Mutual Fund 17862902
7 ICICI Prudential Smallcap Fund - Direct - Growth INF109K015M0 Mutual Fund 10395172
8 ICICI Prudential Corporate Bond Fund- Direct Plan - Growth INF109K016B1 Mutual Fund 6997587
9 ICICI Prudential India Opportunities Fund - Direct Plan - Growth INF109KC1RH9 Mutual Fund 8606835
10
11 TREPS
12
13 Net Current Assets
14 Total Net Assets
15
16
17 For the Instrument/security whose final ISIN is yet to be assigned, disclosure of ISIN has been made as per the details provid
F G H
und
1
2
3
4 Exposure/Market Value([Link]) % to Nav
5 10680.53 99.02%
6 6023.14 55.84%
7 2307.73 21.40%
8 1570.74 14.56%
9 778.92 7.22%
10
11 391.29 3.63%
12
13 -285.54 -2.65%
14 10786.28 100.00%
15
16
17 provided by external agencies.
etails
A B C D E
1 ICICI Prudential Mutual Fund
2 ICICI Prudential Global Stable Equity Fund (FOF)
3 Portfolio as on Jun 30,2020
4 Company/Issuer/Instrument Name ISIN Industry/Rating Quantity
5 Units of Mutual Funds/ Foreign Securities
6 Nordea 1 - Global Stable Equity Fund - Unhedged LU1094103063 Mutual Fund 406749
7
8 TREPS
9
10 Net Current Assets
11 Total Net Assets
12
13
14 For the Instrument/security whose final ISIN is yet to be assigned, disclosure of ISIN has been made as per the details provid
F G H
ual Fund
1
2
3
4 Exposure/Market Value([Link]) % to Nav
5 8439.12 97.31%
6 8439.12 97.31%
7
8 275.85 3.18%
9
10 -42.18 -0.49%
11 8672.79 100.00%
12
13
14as per the details provided by external agencies.
made
A B C D E
1 ICICI Prudential Mutual Fund
2 ICICI Prudential Global Advantage Fund (FOF)
3 Portfolio as on Jun 30,2020
4 Company/Issuer/Instrument Name ISIN Industry/Rating Quantity
5 Units of Mutual Funds
6 Nippon Japan Equity Fund - Direct plan - Growth INF204KA1SI1 Finance 5520090
7 ICICI Prudential US Bluechip Equity Fund - Direct - Growth INF109K01Z71 Mutual Fund 1878148
8 Franklin Asian Equity Fund - Direct - Growth INF090I01IZ5 Finance 2103315
9 Nippon India ETF Hang Seng Bees INF204KB19I1 Finance 124624
10 Aditya BIR Sunlife Commodity EQ-AGR-PL- Direct - Growth INF209K01VL0 Finance 136828
11
12 TREPS
13
14 Net Current Assets
15 Total Net Assets
16
17
18 For the Instrument/security whose final ISIN is yet to be assigned, disclosure of ISIN has been made as per the details provid
F G H
Fund
1
2
3
4 Exposure/Market Value([Link]) % to Nav
5 2451.55 96.54%
6 795.35 31.32%
7 658.85 25.94%
8 530.35 20.88%
9 438.80 17.28%
10 28.20 1.11%
11
12 87.67 3.45%
13
14 0.19 0.01%
15 2539.41 100.00%
16
17
18details provided by external agencies.
r the
A B C D E
1 ICICI Prudential Mutual Fund
2 ICICI Prudential India Equity (FOF)
3 Portfolio as on Jun 30,2020
4 Company/Issuer/Instrument Name ISIN Industry/Rating Quantity
5 Units of Mutual Funds
6 ICICI Prudential Smallcap Fund - Direct - Growth INF109K015M0 Mutual Fund 2362206
7 Reliance CPSE ETF INF457M01133 Finance 2528600
8 ICICI Prudential India Opportunities Fund - Direct Plan - Growth INF109KC1RH9 Mutual Fund 4439499
9 Parag Parikh Long Term Equity Direct - Growth INF879O01027 Finance 1219530
10 ICICI Prudential Dividend Yield Equity Fund Direct - Growth INF109KA1UA0 Mutual Fund 1191645
11 ICICI Prudential Nifty ETF INF109K012R6 Mutual Fund 97380
12 Aditya Birla Sun Life PSU Equity Fund-Direct Plan-Growth INF209KB1O82 Finance 1222496
13
14 TREPS
15
16 Net Current Assets
17 Total Net Assets
18
19
20 For the Instrument/security whose final ISIN is yet to be assigned, disclosure of ISIN has been made as per the details provid
F G H
und
1
2
3
4 Exposure/Market Value([Link]) % to Nav
5 2090.39 99.08%
6 524.41 24.86%
7 447.06 21.19%
8 401.77 19.04%
9 338.79 16.06%
10 168.62 7.99%
11 105.83 5.02%
12 103.91 4.93%
13
14 15.16 0.72%
15
16 4.17 0.20%
17 2109.72 100.00%
18
19
20 provided by external agencies.
details
A B C D E
1 ICICI Prudential Mutual Fund
2 ICICI Prudential Asset Allocator Fund (FOF)
3 Portfolio as on Jun 30,2020
4 Company/Issuer/Instrument Name ISIN Industry/Rating Quantity
5 Units of Mutual Funds
6 ICICI Prudential Bluechip Fund - Direct Plan - Growth INF109K016L0 Mutual Fund 584649582
7 ICICI Prudential Value Discovery Fund - Direct Plan - Growth INF109K012K1 Mutual Fund 94050589
8 ICICI Prudential Multicap Fund - Direct Plan - Growth INF109K014O9 Mutual Fund 30620671
9 ICICI Prudential All Seasons Bond Fund - Direct Plan - Growth INF109K016E5 Mutual Fund 270152549
10 ICICI Prudential Gilt Fund - Direct Plan - Growth INF109K018C5 Mutual Fund 70466620
11 ICICI Prudential Floating Interest Fund - Direct Plan INF109K01P57 Mutual Fund 15073650
12 ICICI Prudential India Opportunities Fund - Direct Plan - Growth INF109KC1RH9 Mutual Fund 493680907
13 ICICI Prudential Large & Mid Cap Fund - Direct Plan - Growth INF109K011O5 Mutual Fund 12775552
14 ICICI PRUDENTIAL LONG TERM BOND FUND - DIRECT - GROWTH INF109K017L8 Mutual Fund 20453523
15
16 TREPS
17
18 Net Current Assets
19 Total Net Assets
20
21
22 For the Instrument/security whose final ISIN is yet to be assigned, disclosure of ISIN has been made as per the details provid
F G H
und
1
2
3
4 Exposure/Market Value([Link]) % to Nav
5 728809.56 99.46%
6 237133.87 32.36%
7 133937.44 18.28%
8 80256.78 10.95%
9 74779.31 10.21%
10 55751.57 7.61%
11 49127.32 6.70%
12 44678.12 6.10%
13 37994.49 5.19%
14 15150.66 2.07%
15
16 6051.85 0.83%
17
18 -2121.41 -0.29%
19 732740.00 100.00%
20
21
22provided by external agencies.
tails
A B C
1 ICICI Prudential Mutual Fun
2 ICICI Prudential Thematic Advantage Fund (FOF)
3 Portfolio as on Jun 30,2020
4 Company/Issuer/Instrument Name ISIN
5 Units of Mutual Funds
6 ICICI Prudential India Opportunities Fund - Direct Plan - Growth INF109KC1RH9
7 ICICI Prudential Infrastructure Fund - Direct Plan - Growth INF109K018M4
8 ICICI Prudential Pharma Healthcare and Diagnostics Fund - Direct Plan - Growth INF109KC1GH2
9 ICICI Prudential Commodities Fund - Direct - Growth INF109KC1F91
10
11 TREPS
12
13 Net Current Assets
14 Total Net Assets
15
16
17 For the Instrument/security whose final ISIN is yet to be assigned, disclosure of ISIN has been made as per the details provid
D E F G H
ential Mutual Fund
1
2
3
4 Industry/Rating Quantity Exposure/Market Value([Link]) % to Nav
5 846.33 98.92%
6 Mutual Fund 3953028 357.75 41.81%
7 Mutual Fund 485020 202.20 23.63%
8 Mutual Fund 1467768 197.71 23.11%
9 Mutual Fund 961709 88.67 10.36%
10
11 6.48 0.76%
12
13 2.78 0.32%
14 855.59 100.00%
15
16
de17
as per the details provided by external agencies.
A B C D E
1 ICICI Prudential Mutual Fund
2 ICICI Prudential Debt Management Fund (FOF)
3 Portfolio as on Jun 30,2020
4 Company/Issuer/Instrument Name ISIN Industry/Rating Quantity
5 Units of Mutual Funds
6 ICICI Prudential Floating Interest Fund - Direct Plan INF109K01P57 Mutual Fund 3789726
7 ICICI Prudential Short Term - Direct Plan - Growth Option INF109K013N3 Mutual Fund 9142887
8
9 TREPS
10
11 Net Current Assets
12 Total Net Assets
13
14
15 For the Instrument/security whose final ISIN is yet to be assigned, disclosure of ISIN has been made as per the details provid
F G H
Fund
1
2
3
4 Exposure/Market Value([Link]) % to Nav
5 16573.13 99.48%
6 12351.29 74.14%
7 4221.84 25.34%
8
9 118.95 0.71%
10
11 -32.21 -0.19%
12 16659.87 100.00%
13
14
15 details provided by external agencies.
r the

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