ICICI Prudential Value Fund (erstwhile Value Discovery Fund) - Growth
Fund Manager : Sankaran Naren | Benchmark : NIFTY 500 TRI | Category : Equity: Value

498.08 2.09 (0.42 %)

NAV as on 12-12-2025

60,382.3 Cr

AUM as on 28-11-2025

Rtn ( Since Inception )

20.1%

Inception Date

Aug 05, 2004

Expense Ratio

1.49%

Fund Status

Open Ended Scheme

Min. Investment (Rs)

1,000

Min. Topup (Rs)

500

Min. SIP Amount (Rs)

100

Risk Status

very high

Investment Objective : To generate returns through a combination of dividend income and capital appreciation by investing primarily in a well-diversified portfolio of value stocks. However, there can be no assurance or guarantee that the investment objective of the Scheme would be achieved.

Returns (%)
1 Mon (%) 3 Mon (%) 6 Mon (%) 1 Yr (%) 3 Yrs (%) 5 Yrs (%) 10 Yrs (%)
Fund 1.07 4.97 6.86 10.47 21.12 23.75 16.27
Benchmark - NIFTY 500 TRI -0.45 2.44 3.56 3.05 15.53 17.43 15.21
Category - Equity: Value -0.26 2.73 3.34 0.43 17.92 19.56 14.88
Rank within Category 1 1 1 1 3 1 3
Number of Funds within Category 21 22 22 21 20 16 12

Returns less than 1 year are in absolute and Returns greater than 1 year period are compounded annualised (CAGR)

Equity Holdings (Top 10)
Sector Allocation (%)
Show All Holdings
Sector Allocation (%)
Asset Allocation
Asset Class Allocation (%)
Equity 91.51
Debt 1.84
Cash & Cash Equivalents 4.95
Derivatives 0.13
International 1.71
   
   
   
   
Portfolio Behavior
Mean 19.64
Sharpe Ratio 1.28
Alpha 6.25
Beta 0.78
Standard Deviation 11.01
Sortino 2.5
Portfolio Turnover 61
Market Cap Distribution
Yearly Performance (%)
Standard Performance
Riskometer
riskometer
SIP Returns (Monthly SIP of Rs. 10,000)
3 Year 5 Year 10 Year 15 Year
Scheme Name Invested Amt Current Value XIRR (%) Invested Amt Current Value XIRR (%) Invested Amt Current Value XIRR (%) Invested Amt Current Value XIRR (%)
ICICI Pru Value Fund Gr 360,000 470,386 19.17 600,000 982,099 20.42 1,200,000 3,221,333 19.02 1,800,000 8,080,795 18.25
NIFTY 500 TRI 360,000 441,371 14.48 600,000 857,843 14.78 1,200,000 2,691,835 15.67 1,800,000 5,994,542 14.81
Equity: Value 360,000 444,383 14.93 600,000 894,764 16.44 1,200,000 2,789,457 16.21 1,800,000 6,585,506 15.81

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Returns less than 1 year are in absolute and greater than 1 year are compounded annualised (CAGR). SIP returns are shown in XIRR (%).

The Risk Level of any of the schemes must always be commensurate with the risk profile, investment objective or financial goals of the investor concerned. Mutual Fund Distributors (MFDs) or Registered Investment Advisors (RIAs) should take the risk profile and investment needs of individual investors into consideration and make scheme(s) or asset allocation recommendations accordingly.

Mutual Fund investments are subject to market risks, read all scheme related documents carefully. Past performance may or may not be sustained in the future. Investors should always invest according to their risk appetite and consult with their mutual fund distributors or financial advisor before investing.