16-04-2018 |
ICICI Pru Value Discovery Fund Gr |
142.89 |
1119.7424592343762 |
1119.7424592343762 |
0.0 |
160000.0 |
0 |
0 |
160000.0 |
0.0 |
160000.0 |
16-04-2018 |
ICICI Pru Liquid Gr |
257.1588 |
155.5459117090296 |
1119.7424592343762 |
155.5459117090296 |
40000.0 |
0 |
0 |
160000.0 |
40000.0 |
200000.0 |
16-04-2021 |
ICICI Pru Value Discovery Fund Gr |
195.67 |
25.55322737261716 |
1094.189231861759 |
155.5459117090296 |
-5000.0 |
1,348.7 |
1,096 |
214100.01 |
47199.629178546485 |
261299.6391785465 |
17-05-2021 |
ICICI Pru Value Discovery Fund Gr |
205.73 |
24.3036990229913 |
1069.8855328387676 |
155.5459117090296 |
-5000.0 |
1,527.24 |
1,127 |
220107.55 |
47321.110535591244 |
267428.66053559125 |
16-06-2021 |
ICICI Pru Value Discovery Fund Gr |
216.18 |
23.12887408640947 |
1046.7566587523581 |
155.5459117090296 |
-5000.0 |
1,695.12 |
1,157 |
226287.85 |
47442.84076609473 |
273730.6907660947 |
16-07-2021 |
ICICI Pru Value Discovery Fund Gr |
218.61 |
22.871780796852843 |
1023.8848779555053 |
155.5459117090296 |
-5000.0 |
1,731.85 |
1,187 |
223831.47 |
47573.11046715104 |
271404.580467151 |
16-08-2021 |
ICICI Pru Value Discovery Fund Gr |
227.4 |
21.98768689533861 |
1001.8971910601667 |
155.5459117090296 |
-5000.0 |
1,858.18 |
1,218 |
227831.42 |
47708.54429247609 |
275539.96429247607 |
16-09-2021 |
ICICI Pru Value Discovery Fund Gr |
238.84 |
20.934516831351534 |
980.9626742288152 |
155.5459117090296 |
-5000.0 |
2,008.67 |
1,249 |
234293.13 |
47835.843066618756 |
282128.9730666188 |
18-10-2021 |
ICICI Pru Value Discovery Fund Gr |
257.26 |
19.43559045323797 |
961.5270837755772 |
155.5459117090296 |
-5000.0 |
2,222.85 |
1,281 |
247362.46 |
47962.0374647883 |
295324.49746478826 |
16-11-2021 |
ICICI Pru Value Discovery Fund Gr |
250.47 |
19.96247055535593 |
941.5646132202213 |
155.5459117090296 |
-5000.0 |
2,147.56 |
1,310 |
235833.69 |
48088.30963591369 |
283921.9996359137 |
16-12-2021 |
ICICI Pru Value Discovery Fund Gr |
240.4 |
20.798668885191347 |
920.76594433503 |
155.5459117090296 |
-5000.0 |
2,028.08 |
1,340 |
221352.13 |
48216.681676847154 |
269568.81167684717 |
17-01-2022 |
ICICI Pru Value Discovery Fund Gr |
255.57 |
19.56411159369253 |
901.2018327413375 |
155.5459117090296 |
-5000.0 |
2,204.48 |
1,372 |
230320.15 |
48367.934521393014 |
278688.084521393 |
16-02-2022 |
ICICI Pru Value Discovery Fund Gr |
254.0 |
19.68503937007874 |
881.5167933712588 |
155.5459117090296 |
-5000.0 |
2,187.2 |
1,402 |
223905.27 |
48500.41297439559 |
272405.6829743956 |
16-03-2022 |
ICICI Pru Value Discovery Fund Gr |
248.89 |
20.089196030374865 |
861.427597340884 |
155.5459117090296 |
-5000.0 |
2,129.45 |
1,430 |
214400.71 |
48630.231592307944 |
263030.94159230794 |
18-04-2022 |
ICICI Pru Value Discovery Fund Gr |
261.19 |
19.14315249435277 |
842.2844448465312 |
155.5459117090296 |
-5000.0 |
2,264.63 |
1,463 |
219996.27 |
48793.02594350262 |
268789.2959435026 |
16-05-2022 |
ICICI Pru Value Discovery Fund Gr |
240.28 |
20.809056101215248 |
821.475388745316 |
155.5459117090296 |
-5000.0 |
2,026.59 |
1,491 |
197384.11 |
48900.44595012887 |
246284.55595012885 |
16-06-2022 |
ICICI Pru Value Discovery Fund Gr |
232.8 |
21.477663230240548 |
799.9977255150754 |
155.5459117090296 |
-5000.0 |
1,931.06 |
1,522 |
186239.47 |
49088.11209260582 |
235327.58209260582 |
18-07-2022 |
ICICI Pru Value Discovery Fund Gr |
245.22 |
20.389854008645298 |
779.6078715064301 |
155.5459117090296 |
-5000.0 |
2,086.49 |
1,554 |
191175.44 |
49297.259125489785 |
240472.6991254898 |
16-08-2022 |
ICICI Pru Value Discovery Fund Gr |
263.04 |
19.008515815085158 |
760.599355691345 |
155.5459117090296 |
-5000.0 |
2,283.87 |
1,583 |
200068.05 |
49483.540909352516 |
249551.5909093525 |
16-09-2022 |
ICICI Pru Value Discovery Fund Gr |
261.04 |
19.154152620288077 |
741.4452030710569 |
155.5459117090296 |
-5000.0 |
2,263.06 |
1,614 |
193546.86 |
49701.30518574516 |
243248.16518574514 |
17-10-2022 |
ICICI Pru Value Discovery Fund Gr |
260.51 |
19.193121185367165 |
722.2520818856897 |
155.5459117090296 |
-5000.0 |
2,257.49 |
1,645 |
188153.89 |
49928.54220816088 |
238082.4322081609 |
16-11-2022 |
ICICI Pru Value Discovery Fund Gr |
276.64 |
18.074031231925968 |
704.1780506537638 |
155.5459117090296 |
-5000.0 |
2,417.4 |
1,675 |
194803.82 |
50181.53763355561 |
244985.3576335556 |
16-12-2022 |
ICICI Pru Value Discovery Fund Gr |
279.69 |
17.876935178233044 |
686.3011154755308 |
155.5459117090296 |
-5000.0 |
2,445.56 |
1,705 |
191951.56 |
50438.9972266164 |
242390.5572266164 |
16-01-2023 |
ICICI Pru Value Discovery Fund Gr |
278.68 |
17.94172527630257 |
668.3593901992282 |
155.5459117090296 |
-5000.0 |
2,436.31 |
1,736 |
186258.39 |
50726.85049082513 |
236985.24049082515 |
16-02-2023 |
ICICI Pru Value Discovery Fund Gr |
281.36 |
17.770827409724195 |
650.588562789504 |
155.5459117090296 |
-5000.0 |
2,460.73 |
1,767 |
183049.6 |
50998.200333801535 |
234047.80033380154 |
16-03-2023 |
ICICI Pru Value Discovery Fund Gr |
270.87 |
18.45903939159006 |
632.1295233979139 |
155.5459117090296 |
-5000.0 |
2,362.39 |
1,795 |
171224.92 |
51256.03323705042 |
222480.95323705045 |
17-04-2023 |
ICICI Pru Value Discovery Fund Gr |
277.85 |
17.995321216483713 |
614.1342021814302 |
155.5459117090296 |
-5000.0 |
2,428.65 |
1,827 |
170637.19 |
51612.248929455265 |
222249.43892945527 |
16-05-2023 |
ICICI Pru Value Discovery Fund Gr |
287.51 |
17.390699453932037 |
596.7435027274981 |
155.5459117090296 |
-5000.0 |
2,515.04 |
1,856 |
171569.72 |
51877.08139873107 |
223446.80139873107 |
16-06-2023 |
ICICI Pru Value Discovery Fund Gr |
295.74 |
16.90674240887266 |
579.8367603186255 |
155.5459117090296 |
-5000.0 |
2,584.2 |
1,887 |
171480.92 |
52178.358275120285 |
223659.2782751203 |
17-07-2023 |
ICICI Pru Value Discovery Fund Gr |
309.13 |
16.174424999191277 |
563.6623353194342 |
155.5459117090296 |
-5000.0 |
2,688.84 |
1,918 |
174244.94 |
52476.1042593137 |
226721.0442593137 |
16-08-2023 |
ICICI Pru Value Discovery Fund Gr |
318.03 |
15.721787252774897 |
547.9405480666593 |
155.5459117090296 |
-5000.0 |
2,753.51 |
1,948 |
174261.53 |
52753.39595611739 |
227014.9259561174 |
18-09-2023 |
ICICI Pru Value Discovery Fund Gr |
332.29 |
15.047097414908663 |
532.8934506517506 |
155.5459117090296 |
-5000.0 |
2,849.92 |
1,981 |
177075.16 |
53072.187302165046 |
230147.34730216506 |
16-10-2023 |
ICICI Pru Value Discovery Fund Gr |
329.6 |
15.169902912621358 |
517.7235477391292 |
155.5459117090296 |
-5000.0 |
2,832.37 |
2,009 |
170641.68 |
53346.02587972879 |
223987.70587972878 |
16-11-2023 |
ICICI Pru Value Discovery Fund Gr |
334.26 |
14.958415604619159 |
502.76513213451005 |
155.5459117090296 |
-5000.0 |
2,862.59 |
2,040 |
168054.27 |
53650.97363963435 |
221705.24363963434 |
18-12-2023 |
ICICI Pru Value Discovery Fund Gr |
359.69 |
13.900859073090716 |
488.86427306141934 |
155.5459117090296 |
-5000.0 |
3,013.71 |
2,072 |
175839.59 |
53969.764985682006 |
229809.354985682 |
16-01-2024 |
ICICI Pru Value Discovery Fund Gr |
375.68 |
13.309199318568995 |
475.55507374285037 |
155.5459117090296 |
-5000.0 |
3,098.25 |
2,101 |
178656.53 |
54298.51127007904 |
232955.04127007903 |
16-02-2024 |
ICICI Pru Value Discovery Fund Gr |
390.2 |
12.813941568426449 |
462.7411321744239 |
155.5459117090296 |
-5000.0 |
3,169.02 |
2,132 |
180561.59 |
54620.80239914015 |
235182.39239914014 |
18-03-2024 |
ICICI Pru Value Discovery Fund Gr |
389.57 |
12.834663860153503 |
449.9064683142704 |
155.5459117090296 |
-5000.0 |
3,166.05 |
2,163 |
175270.06 |
54963.672252320364 |
230233.73225232036 |
16-04-2024 |
ICICI Pru Value Discovery Fund Gr |
394.35 |
12.679092177000125 |
437.22737613727026 |
155.5459117090296 |
-5000.0 |
3,188.28 |
2,192 |
172420.62 |
55333.949295143706 |
227754.5692951437 |
16-05-2024 |
ICICI Pru Value Discovery Fund Gr |
403.77 |
12.383287515169528 |
424.84408862210074 |
155.5459117090296 |
-5000.0 |
3,230.55 |
2,222 |
171539.3 |
55631.97526197821 |
227171.2752619782 |
18-06-2024 |
ICICI Pru Value Discovery Fund Gr |
419.41 |
11.921508786151975 |
412.9225798359488 |
155.5459117090296 |
-5000.0 |
3,296.54 |
2,255 |
173183.86 |
55988.082072244855 |
229171.94207224483 |
16-07-2024 |
ICICI Pru Value Discovery Fund Gr |
444.07 |
11.259486117053617 |
401.6630937188952 |
155.5459117090296 |
-5000.0 |
3,391.13 |
2,283 |
178366.53 |
56295.9229861082 |
234662.4529861082 |
16-08-2024 |
ICICI Pru Value Discovery Fund Gr |
451.9 |
11.064394777605665 |
390.5986989412895 |
155.5459117090296 |
-5000.0 |
3,419.01 |
2,314 |
176511.55 |
56622.756055791215 |
233134.3060557912 |
16-09-2024 |
ICICI Pru Value Discovery Fund Gr |
468.94 |
10.662344862882245 |
379.93635407840725 |
155.5459117090296 |
-5000.0 |
3,476.46 |
2,345 |
178167.35 |
56948.85805968919 |
235116.2080596892 |
16-10-2024 |
ICICI Pru Value Discovery Fund Gr |
462.57 |
10.809174827593662 |
369.1271792508136 |
155.5459117090296 |
-5000.0 |
3,455.48 |
2,375 |
170747.16 |
57289.73692519953 |
228036.89692519954 |
16-11-2024 |
ICICI Pru Liquid Gr |
370.4419 |
13.497393248441929 |
369.1271792508136 |
142.04851846058767 |
-5000.0 |
1,529.03 |
2,406 |
161482.0671068534 |
52620.72 |
214102.78710685342 |
16-12-2024 |
ICICI Pru Liquid Gr |
372.4714 |
13.423849455287035 |
369.1271792508136 |
128.62466900530063 |
-5000.0 |
1,547.94 |
2,436 |
166952.5319033505 |
47909.01 |
214861.5419033505 |
16-01-2025 |
ICICI Pru Liquid Gr |
374.6757 |
13.344873980351542 |
369.1271792508136 |
115.2797950249491 |
-5000.0 |
1,568.25 |
2,467 |
160603.54442023646 |
43192.54 |
203796.08442023647 |
17-02-2025 |
ICICI Pru Value Discovery Fund Gr |
426.81 |
11.714814554485603 |
1108.0276446798905 |
115.2797950249491 |
-5000.0 |
3,326.07 |
2,499 |
472917.28 |
43459.27228655805 |
516376.5522865581 |
17-03-2025 |
ICICI Pru Value Discovery Fund Gr |
421.01 |
11.876202465499633 |
1096.151442214391 |
115.2797950249491 |
-5000.0 |
3,303.01 |
2,527 |
461490.72 |
43677.72749813033 |
505168.4474981303 |
16-04-2025 |
ICICI Pru Value Discovery Fund Gr |
435.92 |
11.469994494402643 |
1084.6814477199882 |
115.2797950249491 |
-5000.0 |
3,361.05 |
2,557 |
472834.34 |
43997.859488914604 |
516832.19948891463 |