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๐Ÿ“ˆ

ICICI Prudential Value Fund (erstwhile Value Discovery Fund) - IDCW

ICICI Prudential Mutual Fund ยท Regular Plan ยท Value Fund

๐Ÿ“… NAV as of 31 Jul 2026
๐Ÿ’ฐ Latest NAV
โ‚น35.27

As of 31 Jul 2026. NAV is end-of-day, not a live intraday price.

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

๐Ÿ“Š Trailing Returns

1M6M1Y3Y5Y
+1.32% -14.02% -10.55% +2.01% +3.74%

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 Value Fund (erstwhile Value Discovery Fund) - IDCW?

As of 31 Jul 2026, the NAV of ICICI Prudential Value Fund (erstwhile Value Discovery Fund) - IDCW is โ‚น35.27.

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.