Previously Known As : Icici Prudential Savings Fund
Icici Prudential Floating Interest Fund Overview
Category Floater Fund
BMSMONEY Rank 5
Rating
Growth Option 07-03-2025
NAV ₹412.37(R) +0.02% ₹449.45(D) +0.02%
Returns 1Y 3Y 5Y 7Y 10Y
Lumpsum Regular 7.97% 7.19% 6.58% 6.9% 7.16%
Direct 8.65% 7.89% 7.31% 7.65% 7.97%
Benchmark
SIP (XIRR) Regular 7.45% 7.65% 5.29% 5.71% 6.43%
Direct 8.12% 8.34% 5.98% 6.43% 7.2%
Ratio Sharpe Ratio Sortino Ratio Sterling Ratio Jensen's Alpha Treynor Ratio
0.29 0.12 0.67 -% -
Risk STD. Dev VaR 1Y95% Max DD Beta Semi Devi.
1.11% 0.0% -0.57% - 0.85%

NAV Date: 07-03-2025

Scheme Name NAV Rupee Change Percent Change
ICICI Prudential Floating Interest Fund - Direct Plan - Daily IDCW 101.5
-0.0200
-0.0200%
ICICI Prudential Floating Interest Fund - Daily IDCW 101.5
-0.0200
-0.0200%
ICICI Prudential Floating Interest Fund - Direct Plan - Weekly IDCW 102.35
0.0200
0.0200%
ICICI Prudential Floating Interest Fund - Weekly IDCW 102.35
0.0200
0.0200%
ICICI Prudential Floating Interest Fund - IDCW Others 182.03
0.0400
0.0200%
ICICI Prudential Floating Interest Fund - Direct Plan - IDCW Others 192.15
0.0500
0.0200%
ICICI Prudential Floating Interest Fund - Growth 412.37
0.0900
0.0200%
ICICI Prudential Floating Interest Fund - Direct Plan - Growth 449.45
0.1100
0.0200%

Review Date: 07-03-2025


Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.


Date Icici Prudential Floating Interest Fund NAV Regular Growth Icici Prudential Floating Interest Fund NAV Direct Growth
07-03-2025 412.3714 449.4461
06-03-2025 412.2794 449.3381
05-03-2025 412.1186 449.155
04-03-2025 412.0044 449.0228
03-03-2025 412.0846 449.1025
28-02-2025 411.9281 448.9087
27-02-2025 411.8776 448.846
25-02-2025 411.8324 448.7812
24-02-2025 411.818 448.7577
21-02-2025 411.5903 448.5172
20-02-2025 411.4747 448.3835
18-02-2025 411.2825 448.1586
17-02-2025 411.3329 448.2057
14-02-2025 411.1289 447.9603
13-02-2025 411.0764 447.8953
12-02-2025 410.8626 447.6546
11-02-2025 410.7563 447.5311
10-02-2025 410.6114 447.3655
07-02-2025 410.1849 446.8777

Fund Launch Date: 01/Jan/2000
Fund Category: Floater Fund
Investment Objective: To generate income through investing predominantly in floating rate instruments while maintaining the optimum balance of yield, safety and liquidity. However, there can be no assurance or guarantee that the investment objective of the Scheme would be achieved.
Fund Description: An open ended debt scheme predominantly investing in floating rate instruments (including fixed rate instruments converted to floating rate exposures using swaps/derivatives
Fund Benchmark: CRISIL Low Duration Debt Index
Source: Fund FactSheet

Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.