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ICICI Prudential Value Fund - Series 20

ICICI Prudential Mutual Fund

This is the Regular plan of ICICI Prudential Value Fund - Series 20 — bought through a distributor, whose commission is paid out of its expense ratio. Income is retained in the fund, so it shows up as NAV rather than as a payout.

NAV
₹13.43
as of 22 Jul 2021

This scheme hasn’t published a NAV since 22 Jul 2021 — it appears to have been discontinued or merged. Trailing return and risk metrics need recent pricing, so they can’t be computed; only the NAV history and lifetime drawdown are shown below.

Performance

+50.10%CAGR
52-week rangePrev NAV 13.29
Latest 13.43
Low 8.5796th percentile of its 52-week rangeHigh 13.61

Scorecard

Not rated
How this is computed

Each verdict is computed from this fund's own metrics against its sub-category — the number behind it is shown, not a black-box rating. Not rated — this fund has no full year of NAV history yet. A rating needs at least a 1-year return to rank its performance against peers.

Performance

Not enough Growth peers to rank yet

Risk

Volatility not available yet

Cost

1.0% expense (no category average yet)

ConsistencyHigh

100% of rolling 3Y windows were positive

Strengths & concerns

Generated from this fund's own numbers against its sub-category — each point names the figure behind it.

Strengths

  • Consistent — positive in 100% of rolling 3-year windows

Concerns

No significant concerns identified.

Key Metrics

Category
Category
Category

Scheme Info

Definitions
Plan
Regular · Growth
Exit Load
0.005%
SIP Inv.
Benchmark
03 Jul 2018

Period returns (<1Y, absolute — not annualized)

Definitions

Annualized returns (≥1Y — CAGR)

Definitions
Advanced metrics — risk and benchmark ratios

Not sure what a figure means? The glossary explains every metric, and the methodology shows the formulas.

Backtest this fund

What a SIP or one-time investment would have grown to over this fund’s real NAV history.

Period
Invested
₹3.60L
Current value
₹4.94L
Absolute
+37.20%
XIRR
+22.88%
Value vs. invested

36 monthly installments of ₹10,000 into ICICI Prudential Value Fund - Series 20, valued at the latest NAV. XIRR annualizes for each installment’s timing.

Calendar-year returns

What the fund actually returned in each year, not the smoothed average.

YearFundNifty 500Diff
2021part+18.22%
2020+11.59%+16.67%-5.08%
2019+7.05%+7.66%-0.61%
2018part+0.96%

January–December, from this fund's NAV history. Absolute return, not annualised. “part” marks a year the fund didn't run end to end — its first year, the current year so far, or one it stopped reporting in; those years show no benchmark comparison.

History points
751
Expense ratio
0.98%
AUM
₹694.24Cr
Portfolio turnover
90%
Exit load
Nil
P/E ratio
15.6
P/B ratio
2.3
Avg market cap
₹4,53,749Cr
P/E & P/B are portfolio-weighted harmonic means across 29 of 31 equity holdings (79% of the portfolio); loss-making companies are excluded.

Taxation

Taxed as equity

This is an equity-oriented fund (≥65% in Indian equities), so gains get the concessional capital-gains rates below — they do not add to your income-tax slab.

Short-term (STCG)
20%
Held under 1 year

Flat, on the whole gain

Long-term (LTCG)
12.5%
Held 1 year or more

On gains above ₹1.25 L per financial year

Applies to capital gains on redemption. Excludes IDCW/dividend tax, STT, surcharge and cess, and pre-2018 equity grandfathering. For research only — consult a tax advisor before filing.

Returns and risk are computed from NAV history and may differ slightly from other portals due to methodology (rolling vs point-to-point, dividend treatment). For research only — not investment advice.

Frequently asked questions

What is the NAV of ICICI Prudential Value Fund - Series 20?

The last published NAV of ICICI Prudential Value Fund - Series 20 was ₹13.43 per unit, on 22 Jul 2021. The scheme has not published a NAV since then — it has likely been merged, wound up or discontinued, so this figure is historical, not a current price.

What is the expense ratio of ICICI Prudential Value Fund - Series 20?

ICICI Prudential Value Fund - Series 20 charges an expense ratio of 0.98% per year. This annual fee is already deducted from the NAV, so the returns you see are net of it.

What are the top holdings of ICICI Prudential Value Fund - Series 20?

ICICI Prudential Value Fund - Series 20's largest holdings are Bharti Airtel Ltd (9.1%), Sun Pharmaceutical Industries Ltd (8.8%), NTPC Ltd (7.5%), Oil & Natural Gas Corporation Ltd (5.9%) and ITC Ltd (5.8%). Holdings are disclosed monthly and change over time.

How risky is ICICI Prudential Value Fund - Series 20?

ICICI Prudential Value Fund - Series 20 is rated moderate on SEBI's risk-o-meter and its worst peak-to-trough fall in our sample was -35.2%. Higher volatility means the NAV swings more; the drawdown shows how far it has fallen from a peak historically.

What is the benchmark of ICICI Prudential Value Fund - Series 20?

ICICI Prudential Value Fund - Series 20 is benchmarked against the BSE 500 Total Return Index. Its alpha and beta on this page are measured against that index.

How is ICICI Prudential Value Fund - Series 20 taxed?

ICICI Prudential Value Fund - Series 20 is an equity-oriented fund, so its capital gains get concessional rates: short-term gains (units held under 1 year) are taxed at 20%, and long-term gains (held 1 year or more) at 12.5% above a ₹1.25 lakh per-year exemption. These rates apply on redemption and don't add to your income-tax slab.