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NAV HISTORY

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ICICI Prudential Floating Interest Rates Fund


Fund : ICICI Prudential Mutual Fund
Category : Debt - Floaters
Type : Open Ended
NAV(29/09/2026) 456.2862
Percentage Returns :
1 Month Ago : 0.12%
3 Months Ago : 0.81%
1 Year Ago : 5.85%
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NAV DateRepurcahse (₹)Sale (₹)Amount (₹)
29/09/2026456.29456.29456.29
28/09/2026456.23456.23456.23
25/09/2026456.24456.24456.24
24/09/2026456.51456.51456.51
23/09/2026457.10457.10457.10
22/09/2026456.98456.98456.98
21/09/2026456.88456.88456.88
18/09/2026456.76456.76456.76
17/09/2026456.46456.46456.46
16/09/2026456.38456.38456.38
15/09/2026456.15456.15456.15
11/09/2026456.67456.67456.67
10/09/2026457.14457.14457.14
09/09/2026457.28457.28457.28
08/09/2026457.14457.14457.14
07/09/2026457.06457.06457.06
04/09/2026456.83456.83456.83
03/09/2026456.63456.63456.63
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