26-07-2017 |
ICICI Pru Value Discovery Fund Gr |
138.28 |
1157.0726063060456 |
1157.0726063060456 |
0.0 |
160000.0 |
0 |
0 |
160000.0 |
0.0 |
160000.0 |
26-07-2017 |
ICICI Pru Liquid Gr |
245.1854 |
163.14185102375592 |
1157.0726063060456 |
163.14185102375592 |
40000.0 |
0 |
0 |
160000.0 |
40000.0 |
200000.0 |
26-08-2020 |
ICICI Pru Value Discovery Fund Gr |
150.46 |
33.23142363418849 |
1088.493003103105 |
163.14185102375592 |
-5000.0 |
404.76 |
1,127 |
163774.66 |
48540.68798549996 |
212315.34798549995 |
26-11-2020 |
ICICI Pru Value Discovery Fund Gr |
162.17 |
30.831843127582168 |
990.0287145516953 |
163.14185102375592 |
-5000.0 |
736.57 |
1,219 |
160552.96 |
48934.952896869065 |
209487.91289686906 |
28-12-2020 |
ICICI Pru Value Discovery Fund Gr |
174.1 |
28.71912693854107 |
961.3095876131542 |
163.14185102375592 |
-5000.0 |
1,028.72 |
1,251 |
167364.0 |
49049.396905362235 |
216413.39690536223 |
27-01-2021 |
ICICI Pru Value Discovery Fund Gr |
179.46 |
27.86136186336788 |
933.4482257497864 |
163.14185102375592 |
-5000.0 |
1,147.33 |
1,281 |
167516.62 |
49163.36780248743 |
216679.98780248742 |
26-02-2021 |
ICICI Pru Value Discovery Fund Gr |
189.67 |
26.361575367743978 |
907.0866503820424 |
163.14185102375592 |
-5000.0 |
1,354.72 |
1,311 |
172047.12 |
49294.762249301966 |
221341.88224930197 |
26-03-2021 |
ICICI Pru Value Discovery Fund Gr |
189.89 |
26.331033756385278 |
880.7556166256571 |
163.14185102375592 |
-5000.0 |
1,358.94 |
1,339 |
167246.68 |
49414.68782398952 |
216661.3678239895 |
26-04-2021 |
ICICI Pru Value Discovery Fund Gr |
193.37 |
25.85716502042716 |
854.89845160523 |
163.14185102375592 |
-5000.0 |
1,424.47 |
1,370 |
165311.71 |
49548.25205742267 |
214859.96205742267 |
26-05-2021 |
ICICI Pru Value Discovery Fund Gr |
210.26 |
23.780081803481405 |
831.1183698017486 |
163.14185102375592 |
-5000.0 |
1,711.69 |
1,400 |
174750.95 |
49669.51539528863 |
224420.46539528866 |
28-06-2021 |
ICICI Pru Value Discovery Fund Gr |
216.23 |
23.123525875225454 |
807.9948439265231 |
163.14185102375592 |
-5000.0 |
1,802.48 |
1,433 |
174712.73 |
49815.13581151243 |
224527.86581151246 |
26-07-2021 |
ICICI Pru Value Discovery Fund Gr |
218.5 |
22.88329519450801 |
785.1115487320151 |
163.14185102375592 |
-5000.0 |
1,835.7 |
1,461 |
171546.87 |
49942.337512755665 |
221489.20751275565 |
26-08-2021 |
ICICI Pru Value Discovery Fund Gr |
222.51 |
22.47090018426138 |
762.6406485477537 |
163.14185102375592 |
-5000.0 |
1,892.72 |
1,492 |
169695.17 |
50084.580892663274 |
219779.7508926633 |
27-09-2021 |
ICICI Pru Value Discovery Fund Gr |
241.2 |
20.729684908789388 |
741.9109636389643 |
163.14185102375592 |
-5000.0 |
2,133.5 |
1,524 |
178948.92 |
50214.556005373895 |
229163.4760053739 |
26-10-2021 |
ICICI Pru Value Discovery Fund Gr |
252.63 |
19.79179036535645 |
722.1191732736079 |
163.14185102375592 |
-5000.0 |
2,263.19 |
1,553 |
182428.97 |
50333.11118851286 |
232762.08118851285 |
26-11-2021 |
ICICI Pru Value Discovery Fund Gr |
239.81 |
20.849839456236186 |
701.2693338173717 |
163.14185102375592 |
-5000.0 |
2,116.88 |
1,584 |
168171.4 |
50483.69111700779 |
218655.09111700777 |
27-12-2021 |
ICICI Pru Value Discovery Fund Gr |
236.84 |
21.111298767100152 |
680.1580350502716 |
163.14185102375592 |
-5000.0 |
2,080.73 |
1,615 |
161088.63 |
50625.706098323964 |
211714.33609832398 |
27-01-2022 |
ICICI Pru Value Discovery Fund Gr |
248.56 |
20.115867396202123 |
660.0421676540694 |
163.14185102375592 |
-5000.0 |
2,218.38 |
1,646 |
164060.08 |
50768.014734971985 |
214828.09473497196 |
27-02-2022 |
ICICI Pru Liquid Gr |
312.1276 |
16.019089628728764 |
660.0421676540694 |
147.12276139502717 |
-5000.0 |
1,072.35 |
1,677 |
162766.39854349353 |
45921.07 |
208687.46854349354 |
27-03-2022 |
ICICI Pru Liquid Gr |
312.9765 |
15.975640343604073 |
660.0421676540694 |
131.14712105142308 |
-5000.0 |
1,083.01 |
1,705 |
166931.2646213907 |
41045.97 |
207977.2346213907 |
26-04-2022 |
ICICI Pru Value Discovery Fund Gr |
257.36 |
19.42803854522847 |
1137.6445677608172 |
131.14712105142308 |
-5000.0 |
2,313.49 |
1,735 |
292784.21 |
41172.012429793234 |
333956.22242979327 |
26-05-2022 |
ICICI Pru Value Discovery Fund Gr |
244.8 |
20.424836601307188 |
1117.21973115951 |
131.14712105142308 |
-5000.0 |
2,175.65 |
1,765 |
273495.39 |
41281.28421105329 |
314776.6742110533 |
27-06-2022 |
ICICI Pru Value Discovery Fund Gr |
237.49 |
21.05351804286496 |
1096.1662131166452 |
131.14712105142308 |
-5000.0 |
2,088.72 |
1,797 |
260328.51 |
41445.96565095756 |
301774.47565095755 |
26-07-2022 |
ICICI Pru Value Discovery Fund Gr |
247.1 |
20.234722784297855 |
1075.9314903323473 |
131.14712105142308 |
-5000.0 |
2,201.94 |
1,826 |
265862.67 |
41596.31271053091 |
307458.98271053087 |
26-08-2022 |
ICICI Pru Value Discovery Fund Gr |
261.27 |
19.137290925096643 |
1056.7941994072505 |
131.14712105142308 |
-5000.0 |
2,353.7 |
1,857 |
276108.62 |
41783.64325824076 |
317892.26325824077 |
26-09-2022 |
ICICI Pru Value Discovery Fund Gr |
253.14 |
19.75191593584578 |
1037.0422834714047 |
131.14712105142308 |
-5000.0 |
2,268.71 |
1,888 |
262516.88 |
41957.203358240215 |
304474.0833582402 |
27-10-2022 |
ICICI Pru Value Discovery Fund Gr |
269.87 |
18.527439137362432 |
1018.5148443340423 |
131.14712105142308 |
-5000.0 |
2,438.03 |
1,919 |
274866.6 |
42164.67810374357 |
317031.27810374356 |
28-11-2022 |
ICICI Pru Value Discovery Fund Gr |
280.02 |
17.855867438040143 |
1000.6589768960022 |
131.14712105142308 |
-5000.0 |
2,530.89 |
1,951 |
280204.53 |
42397.6216201551 |
322602.15162015514 |
26-12-2022 |
ICICI Pru Value Discovery Fund Gr |
275.36 |
18.158047646717023 |
982.5009292492852 |
131.14712105142308 |
-5000.0 |
2,489.11 |
1,979 |
270541.46 |
42604.09964753847 |
313145.55964753847 |
27-01-2023 |
ICICI Pru Value Discovery Fund Gr |
276.74 |
18.067500180675 |
964.4334290686102 |
131.14712105142308 |
-5000.0 |
2,501.63 |
2,011 |
266897.31 |
42847.94148970938 |
309745.25148970936 |
27-02-2023 |
ICICI Pru Value Discovery Fund Gr |
275.03 |
18.179834927098863 |
946.2535941415113 |
131.14712105142308 |
-5000.0 |
2,486.09 |
2,042 |
260248.13 |
43076.216168611485 |
303324.3461686115 |
27-03-2023 |
ICICI Pru Value Discovery Fund Gr |
269.39 |
18.56045139017781 |
927.6931427513334 |
131.14712105142308 |
-5000.0 |
2,433.46 |
2,070 |
249911.26 |
43302.79904965203 |
293214.059049652 |
26-04-2023 |
ICICI Pru Value Discovery Fund Gr |
278.87 |
17.92950120127658 |
909.7636415500568 |
131.14712105142308 |
-5000.0 |
2,520.71 |
2,100 |
253705.79 |
43579.6768516158 |
297285.4668516158 |
26-05-2023 |
ICICI Pru Value Discovery Fund Gr |
288.5 |
17.33102253032929 |
892.4326190197276 |
131.14712105142308 |
-5000.0 |
2,603.47 |
2,130 |
257466.81 |
43828.17441658403 |
301294.984416584 |
26-06-2023 |
ICICI Pru Value Discovery Fund Gr |
294.46 |
16.98023500645249 |
875.452384013275 |
131.14712105142308 |
-5000.0 |
2,651.97 |
2,161 |
257785.71 |
44071.268720164946 |
301856.9787201649 |
26-07-2023 |
ICICI Pru Value Discovery Fund Gr |
315.99 |
15.82328554701098 |
859.629098466264 |
131.14712105142308 |
-5000.0 |
2,811.96 |
2,191 |
271634.2 |
44316.13350988006 |
315950.33350988006 |
28-08-2023 |
ICICI Pru Value Discovery Fund Gr |
317.94 |
15.726237654903441 |
843.9028608113606 |
131.14712105142308 |
-5000.0 |
2,825.38 |
2,224 |
268310.48 |
44576.001530243455 |
312886.4815302434 |
26-09-2023 |
ICICI Pru Value Discovery Fund Gr |
326.66 |
15.306434825200514 |
828.59642598616 |
131.14712105142308 |
-5000.0 |
2,883.43 |
2,253 |
270669.31 |
44809.62701168446 |
315478.93701168447 |
26-10-2023 |
ICICI Pru Value Discovery Fund Gr |
316.81 |
15.782330103216438 |
812.8140958829437 |
131.14712105142308 |
-5000.0 |
2,817.62 |
2,283 |
257507.63 |
45057.04917026007 |
302564.6791702601 |
28-11-2023 |
ICICI Pru Value Discovery Fund Gr |
338.68 |
14.763198299279555 |
798.0508975836641 |
131.14712105142308 |
-5000.0 |
2,958.54 |
2,316 |
270283.88 |
45336.458111660126 |
315620.33811166015 |
26-12-2023 |
ICICI Pru Value Discovery Fund Gr |
360.59 |
13.866163787126654 |
784.1847337965374 |
131.14712105142308 |
-5000.0 |
3,082.59 |
2,344 |
282769.17 |
45576.70652271423 |
328345.8765227142 |
29-01-2024 |
ICICI Pru Value Discovery Fund Gr |
379.45 |
13.176966662274344 |
771.0077671342631 |
131.14712105142308 |
-5000.0 |
3,177.89 |
2,378 |
292558.9 |
45889.53175055819 |
338448.4317505582 |
26-02-2024 |
ICICI Pru Value Discovery Fund Gr |
392.08 |
12.752499489900021 |
758.255267644363 |
131.14712105142308 |
-5000.0 |
3,236.58 |
2,406 |
297296.73 |
46146.93420504582 |
343443.6642050458 |
26-03-2024 |
ICICI Pru Value Discovery Fund Gr |
389.72 |
12.829723904341577 |
745.4255437400215 |
131.14712105142308 |
-5000.0 |
3,225.91 |
2,435 |
290507.24 |
46404.49403607871 |
336911.7340360787 |
26-04-2024 |
ICICI Pru Value Discovery Fund Gr |
401.2 |
12.462612163509473 |
732.962931576512 |
131.14712105142308 |
-5000.0 |
3,276.67 |
2,466 |
294064.73 |
46731.65364425359 |
340796.3836442536 |
27-05-2024 |
ICICI Pru Value Discovery Fund Gr |
408.82 |
12.23032141284673 |
720.7326101636653 |
131.14712105142308 |
-5000.0 |
3,308.79 |
2,497 |
294649.91 |
47008.99046114103 |
341658.900461141 |
26-06-2024 |
ICICI Pru Value Discovery Fund Gr |
424.51 |
11.77828555275494 |
708.9543246109104 |
131.14712105142308 |
-5000.0 |
3,371.3 |
2,527 |
300958.2 |
47273.133877650704 |
348231.33387765073 |
26-07-2024 |
ICICI Pru Liquid Gr |
362.607 |
13.789033306031046 |
708.9543246109104 |
149.35281771772486 |
-5000.0 |
1,619.13 |
2,557 |
317200.3439174135 |
54156.38 |
371356.7239174135 |