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๐Ÿ“ˆ

ICICI Prudential Bond Fund- Institutional Monthly Dividend

ICICI Prudential Mutual Fund ยท Regular Plan ยท Debt Fund

๐Ÿ“… NAV as of 24 Apr 2020
๐Ÿ’ฐ Latest NAV
โ‚น10.64

As of 24 Apr 2020. NAV is end-of-day, not a live intraday price.

๐Ÿ—‚๏ธ Category
๐Ÿ“‹ Plan / Option
Regular / IDCW

๐Ÿ“Š Trailing Returns

1M6M1Y3Y5Y
+3.99% -0.71% -0.24% -0.08% -0.22%

3Y and 5Y returns are annualised (CAGR); 1M/6M/1Y are absolute change in NAV over the period.

๐Ÿ“‰ NAV History

Frequently Asked Questions

What is NAV?

NAV (Net Asset Value) is a mutual fund scheme's per-unit price: the fund's total assets minus liabilities, divided by units outstanding. It's calculated once per business day after markets close, it is not a live intraday price.

What is the latest NAV of ICICI Prudential Bond Fund- Institutional Monthly Dividend?

As of 24 Apr 2020, the NAV of ICICI Prudential Bond Fund- Institutional Monthly Dividend is โ‚น10.64.

How are the trailing returns calculated?

Returns of 1 year or less are simple percentage change in NAV over that period. Returns beyond 1 year (3Y, 5Y) are shown as CAGR (compound annual growth rate), the standard convention for comparing funds across different holding periods.

NAV data sourced from AMFI. For information only; not investment advice. Mutual fund investments are subject to market risks.