- Scheme Category:
- Other Scheme >
- Index Funds
NAV: ₹ 9.8759 ↑ 1.07%
[as on 15 October, 2025]
NAV chart with SMA (Simple moving average) overlay
SMA (Simple Moving Average)
Returns
Name | YTD | 1D | 1W | 1M | 3M | 1Y | 3Y | 5Y | 7Y | 10Y |
---|
ICICI Prudential Nifty200 Value 30 Index Fund - Growth | 9.51% | 1.07% | 1.01% | 4.15% | 2.49% | - | - | - | - | - |
Portfolio
Asset allocation
Equity | Debt | Realestate | Commodities | Cash & Equivalents |
---|
99.93% |
0.00% (Arbitrage: 0.00%) |
0.00% |
0.00% |
0.07% |
Equity
Name | Sector | Weight % |
---|
Hindalco Industries Ltd. | Non - Ferrous Metals | 5.53% |
State Bank Of India | Banks | 5.33% |
Tata Steel Ltd. | Ferrous Metals | 5.27% |
Bharat Petroleum Corporation Ltd. | Petroleum Products | 5.19% |
Indian Oil Corporation Ltd. | Petroleum Products | 5.15% |
Vedanta Ltd. | Diversified Metals | 5.13% |
NTPC Ltd. | Power | 5.03% |
Coal India Ltd. | Consumable Fuels | 4.86% |
Power Finance Corporation Ltd. | Finance | 4.85% |
Oil & Natural Gas Corporation Ltd. | Oil | 4.84% |
Hindustan Petroleum Corporation Ltd. | Petroleum Products | 4.76% |
Power Grid Corporation Of India Ltd. | Power | 4.71% |
Grasim Industries Ltd. | Cement & Cement Products | 4.71% |
Bank Of Baroda | Banks | 3.66% |
IndusInd Bank Ltd. | Banks | 3.32% |
Shriram Finance Ltd. | Finance | 3.21% |
Canara Bank | Banks | 3.15% |
Rural Electrification Corporation Ltd. | Finance | 3.12% |
GAIL (India) Ltd. | Gas | 2.72% |
Punjab National Bank | Banks | 2.16% |
The Federal Bank Ltd. | Banks | 1.94% |
Union Bank Of India | Banks | 1.83% |
NMDC Ltd. | Minerals & Mining | 1.47% |
Indian Bank | Banks | 1.46% |
UPL Ltd. | Fertilizers & Agrochemicals | 1.33% |
Steel Authority Of India Ltd. | Ferrous Metals | 1.31% |
Petronet LNG Ltd. | Gas | 1.19% |
LIC Housing Finance Ltd. | Finance | 1.13% |
Bank Of India | Banks | 1.07% |
Indraprastha Gas Ltd. | Gas | 0.49% |
Debt
Portfolio data is as on date 30 September, 2025
NAV (Net asset value) history
ICICI Prudential Nifty200 Value 30 Index Fund - Growth - 30 days NAV history
Date | NAV |
---|
15 October, 2025 | 9.8759 |
14 October, 2025 | 9.7716 |
13 October, 2025 | 9.8714 |
10 October, 2025 | 9.8801 |
9 October, 2025 | 9.8588 |
8 October, 2025 | 9.7767 |
7 October, 2025 | 9.8335 |
6 October, 2025 | 9.8246 |
3 October, 2025 | 9.8074 |
1 October, 2025 | 9.7096 |
30 September, 2025 | 9.6910 |
29 September, 2025 | 9.6099 |
26 September, 2025 | 9.4677 |
25 September, 2025 | 9.6169 |
24 September, 2025 | 9.6672 |
23 September, 2025 | 9.6990 |
22 September, 2025 | 9.6403 |
19 September, 2025 | 9.6651 |
18 September, 2025 | 9.6226 |
17 September, 2025 | 9.6098 |
16 September, 2025 | 9.5422 |
15 September, 2025 | 9.4827 |
12 September, 2025 | 9.4633 |
11 September, 2025 | 9.4508 |
10 September, 2025 | 9.3688 |
9 September, 2025 | 9.2949 |
8 September, 2025 | 9.3149 |
5 September, 2025 | 9.3074 |
4 September, 2025 | 9.2774 |
3 September, 2025 | 9.3522 |
FAQ (Frequently asked questions)
What is latest/current NAV/price of ICICI Prudential Nifty200 Value 30 Index Fund - Growth?
The latest NAV of ICICI Prudential Nifty200 Value 30 Index Fund - Growth is 9.8759 as on 15 October, 2025.
What are YTD (year to date) returns of ICICI Prudential Nifty200 Value 30 Index Fund - Growth?
The YTD (year to date) returns of ICICI Prudential Nifty200 Value 30 Index Fund - Growth are 9.51% as on 15 October, 2025.