ICICI Prudential Exports and Services Fund Growth
- Rating 5
- Plan
- 5D
- 1M
- 6M
- 1Y
- 5Y
- MAX
Key Metrics
- AUM (in Cr)1104.33
- CAGR 16.75%
- Exit Load1.00%
- Expense ratio2.36%
- CategoryEquity
- Min Investment5000
- Min SIP100
- Launch Date2005-11-30
Asset Allocation
Holdings As On - 01 December 2023
- Name
- Value (Cr)
- Holding %
- Bharti Airtel
- 89.61
- 8.11%
- Sun Pharmaceutical Industries
- 88.09
- 7.98%
- ICICI Bank
- 87.08
- 7.89%
- Reliance Industries
- 69.94
- 6.33%
- NTPC
- 69.93
- 6.33%
- Infosys
- 64.34
- 5.83%
- HDFC Bank
- 46.90
- 4.25%
- Net Current Assets
- 40.72
- 3.69%
- HCL Technologies
- 40.48
- 3.66%
- Axis Bank
- 36.41
- 3.30%