ICICI Prudential Floating Interest Fund
| Fund :
|
ICICI Prudential Mutual Fund
|
| Category :
|
Debt - Floaters
|
| Type :
|
Open Ended
|
| NAV(24/12/2025)
|
438.5857
|
| Percentage Returns :
|
| 1 Month Ago :
|
0.34%
|
| 3 Months Ago :
|
1.82%
|
| 1 Year Ago :
|
7.78%
|
| NAV Date | Repurcahse (₹) | Sale (₹) | Amount (₹) |
| 24/12/2025 | 438.59 | 438.59 | 438.59 |
| 23/12/2025 | 438.29 | 438.29 | 438.29 |
| 22/12/2025 | 438.32 | 438.32 | 438.32 |
| 19/12/2025 | 438.19 | 438.19 | 438.19 |
| 18/12/2025 | 438.13 | 438.13 | 438.13 |
| 17/12/2025 | 438.12 | 438.12 | 438.12 |
| 16/12/2025 | 437.99 | 437.99 | 437.99 |
| 15/12/2025 | 437.99 | 437.99 | 437.99 |
| 12/12/2025 | 438.04 | 438.04 | 438.04 |
| 11/12/2025 | 438.02 | 438.02 | 438.02 |
| 10/12/2025 | 438.08 | 438.08 | 438.08 |
| 09/12/2025 | 438.24 | 438.24 | 438.24 |
| 08/12/2025 | 438.21 | 438.21 | 438.21 |
| 05/12/2025 | 438.03 | 438.03 | 438.03 |
| 04/12/2025 | 437.90 | 437.90 | 437.90 |
| 03/12/2025 | 437.84 | 437.84 | 437.84 |
| 02/12/2025 | 437.72 | 437.72 | 437.72 |
| 01/12/2025 | 437.64 | 437.64 | 437.64 |
|
|