ICICI Prudential Technology Fund - Growth

Category: Equity: Sectoral-Technology
Launch Date: 03-03-2000
Asset Class: Equity
Benchmark: BSE Teck TRI
Expense Ratio: 1.75% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 1000.0
Total Assets: 14,274.58 Cr As on (31-12-2024)
Turn over: 46%
NAV as on 13-01-2025

212.66

-3.65 (-1.7164%)

CAGR Since Inception

13.07%

BSE Teck TRI 15.97%

PERFORMANCE of ICICI Prudential Technology Fund - Growth

Scheme Performance (%)

Data as on - 14-01-2025

Yearly Performance (%)

Fund Managers

Vaibhav Dusad, Sharmila D'mello

Investment Objective

The scheme will seek long term capital appreciation by investing in equity and equity related securities of technology and technology dependent companies. A large share of the AUM will be invested in the stocks under the Benchmark Index, however, the scheme may also invest in other companies which form a part of Information Technology Services Industry.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
03-03-2000 10.0 10000.0 100000 0.0 %
03-04-2000 8.74 - 87400 -12.6 %
03-05-2000 6.03 - 60300 -39.7 %
05-06-2000 6.22 - 62200 -37.8 %
03-07-2000 6.74 - 67400 -32.6 %
03-08-2000 5.31 - 53100 -46.9 %
04-09-2000 6.27 - 62700 -37.3 %
03-10-2000 5.54 - 55400 -44.6 %
03-11-2000 5.46 - 54600 -45.4 %
04-12-2000 5.32 - 53200 -46.8 %
03-01-2001 4.63 - 46300 -53.7 %
05-02-2001 5.21 - 52100 -47.9 %
05-03-2001 3.88 - 38800 -61.2 %
03-04-2001 3.24 - 32400 -67.6 %
03-05-2001 3.35 - 33500 -66.5 %
04-06-2001 3.45 - 34500 -65.5 %
03-07-2001 3.03 - 30300 -69.7 %
03-08-2001 3.0 - 30000 -70.0 %
03-09-2001 2.9 - 29000 -71.0 %
03-10-2001 2.07 - 20700 -79.3 %
05-11-2001 2.41 - 24100 -75.9 %
03-12-2001 2.82 - 28200 -71.8 %
03-01-2002 3.1 - 31000 -69.0 %
04-02-2002 3.05 - 30500 -69.5 %
04-03-2002 3.27 - 32700 -67.3 %
03-04-2002 3.21 - 32100 -67.9 %
03-05-2002 3.51 - 35100 -64.9 %
03-06-2002 3.19 - 31900 -68.1 %
03-07-2002 3.24 - 32400 -67.6 %
05-08-2002 2.68 - 26800 -73.2 %
03-09-2002 2.92 - 29200 -70.8 %
03-10-2002 2.75 - 27500 -72.5 %
05-11-2002 2.78 - 27800 -72.2 %
03-12-2002 3.22 - 32200 -67.8 %
03-01-2003 3.39 - 33900 -66.1 %
03-02-2003 3.09 - 30900 -69.1 %
03-03-2003 2.98 - 29800 -70.2 %
03-04-2003 2.78 - 27800 -72.2 %
05-05-2003 2.55 - 25500 -74.5 %
03-06-2003 2.59 - 25900 -74.1 %
03-07-2003 2.9 - 29000 -71.0 %
04-08-2003 3.36 - 33600 -66.4 %
03-09-2003 3.73 - 37300 -62.7 %
03-10-2003 4.21 - 42100 -57.9 %
03-11-2003 4.47 - 44700 -55.3 %
03-12-2003 5.17 - 51700 -48.3 %
05-01-2004 5.75 - 57500 -42.5 %
03-02-2004 5.06 - 50600 -49.4 %
03-03-2004 5.18 - 51800 -48.2 %
05-04-2004 4.8 - 48000 -52.0 %
03-05-2004 4.92 - 49200 -50.8 %
03-06-2004 4.75 - 47500 -52.5 %
05-07-2004 4.88 - 48800 -51.2 %
03-08-2004 5.25 - 52500 -47.5 %
03-09-2004 5.66 - 56600 -43.4 %
04-10-2004 6.08 - 60800 -39.2 %
03-11-2004 6.06 - 60600 -39.4 %
03-12-2004 6.36 - 63600 -36.4 %
03-01-2005 6.63 - 66300 -33.7 %
03-02-2005 6.7 - 67000 -33.0 %
03-03-2005 7.01 - 70100 -29.9 %
04-04-2005 6.99 - 69900 -30.1 %
03-05-2005 6.65 - 66500 -33.5 %
03-06-2005 7.3 - 73000 -27.0 %
04-07-2005 7.85 - 78500 -21.5 %
03-08-2005 8.41 - 84100 -15.9 %
05-09-2005 9.12 - 91200 -8.8 %
03-10-2005 9.12 - 91200 -8.8 %
07-11-2005 8.65 - 86500 -13.5 %
05-12-2005 9.48 - 94800 -5.2 %
03-01-2006 10.23 - 102300 2.3 %
03-02-2006 10.46 - 104600 4.6 %
03-03-2006 10.66 - 106600 6.6 %
03-04-2006 11.65 - 116500 16.5 %
03-05-2006 12.09 - 120900 20.9 %
05-06-2006 10.22 - 102200 2.2 %
03-07-2006 9.75 - 97500 -2.5 %
03-08-2006 9.9 - 99000 -1.0 %
04-09-2006 11.1 - 111000 11.0 %
03-10-2006 11.13 - 111300 11.3 %
03-11-2006 12.68 - 126800 26.8 %
04-12-2006 13.81 - 138100 38.1 %
03-01-2007 15.65 - 156500 56.5 %
05-02-2007 16.61 - 166100 66.1 %
05-03-2007 14.55 - 145500 45.5 %
03-04-2007 14.69 - 146900 46.9 %
03-05-2007 16.47 - 164700 64.7 %
04-06-2007 16.55 - 165500 65.5 %
03-07-2007 16.86 - 168600 68.6 %
03-08-2007 15.87 - 158700 58.7 %
03-09-2007 15.49 - 154900 54.9 %
03-10-2007 15.12 - 151200 51.2 %
05-11-2007 13.92 - 139200 39.2 %
03-12-2007 14.65 - 146500 46.5 %
03-01-2008 17.88 - 178800 78.8 %
04-02-2008 15.2 - 152000 52.0 %
03-03-2008 14.33 - 143300 43.3 %
03-04-2008 12.66 - 126600 26.6 %
05-05-2008 14.07 - 140700 40.7 %
03-06-2008 13.35 - 133500 33.5 %
03-07-2008 11.6 - 116000 16.0 %
04-08-2008 11.98 - 119800 19.8 %
04-09-2008 11.6 - 116000 16.0 %
03-10-2008 9.01 - 90100 -9.9 %
03-11-2008 6.88 - 68800 -31.2 %
03-12-2008 6.2 - 62000 -38.0 %
05-01-2009 6.44 - 64400 -35.6 %
03-02-2009 6.06 - 60600 -39.4 %
03-03-2009 5.47 - 54700 -45.3 %
06-04-2009 6.43 - 64300 -35.7 %
04-05-2009 7.79 - 77900 -22.1 %
03-06-2009 8.65 - 86500 -13.5 %
03-07-2009 9.23 - 92300 -7.7 %
03-08-2009 10.82 - 108200 8.2 %
03-09-2009 11.67 - 116700 16.7 %
05-10-2009 12.38 - 123800 23.8 %
03-11-2009 11.72 - 117200 17.2 %
03-12-2009 12.94 - 129400 29.4 %
04-01-2010 14.21 - 142100 42.1 %
03-02-2010 13.84 - 138400 38.4 %
03-03-2010 14.44 - 144400 44.4 %
05-04-2010 14.91 - 149100 49.1 %
03-05-2010 14.99 - 149900 49.9 %
03-06-2010 14.9 - 149000 49.0 %
05-07-2010 15.56 - 155600 55.6 %
03-08-2010 15.83 - 158300 58.3 %
03-09-2010 16.36 - 163600 63.6 %
04-10-2010 18.21 - 182100 82.1 %
03-11-2010 18.16 - 181600 81.6 %
03-12-2010 19.05 - 190500 90.5 %
03-01-2011 20.4 - 204000 104.0 %
03-02-2011 18.91 - 189100 89.1 %
03-03-2011 18.35 - 183500 83.5 %
04-04-2011 19.28 - 192800 92.8 %
03-05-2011 18.13 - 181300 81.3 %
03-06-2011 18.23 - 182300 82.3 %
04-07-2011 18.61 - 186100 86.1 %
03-08-2011 17.27 - 172700 72.7 %
05-09-2011 14.64 - 146400 46.4 %
03-10-2011 15.27 - 152700 52.7 %
03-11-2011 16.85 - 168500 68.5 %
05-12-2011 16.69 - 166900 66.9 %
03-01-2012 16.96 - 169600 69.6 %
03-02-2012 17.6 - 176000 76.0 %
05-03-2012 18.16 - 181600 81.6 %
03-04-2012 18.75 - 187500 87.5 %
03-05-2012 18.4 - 184000 84.0 %
04-06-2012 18.0 - 180000 80.0 %
03-07-2012 19.05 - 190500 90.5 %
03-08-2012 17.74 - 177400 77.4 %
03-09-2012 18.78 - 187800 87.8 %
03-10-2012 19.84 - 198400 98.4 %
05-11-2012 18.95 - 189500 89.5 %
03-12-2012 19.62 - 196200 96.2 %
03-01-2013 19.68 - 196800 96.8 %
04-02-2013 20.82 - 208200 108.2 %
04-03-2013 21.58 - 215800 115.8 %
03-04-2013 21.64 - 216400 116.4 %
03-05-2013 19.68 - 196800 96.8 %
03-06-2013 19.8 - 198000 98.0 %
03-07-2013 19.61 - 196100 96.1 %
05-08-2013 22.82 - 228200 128.2 %
03-09-2013 24.07 - 240700 140.7 %
03-10-2013 25.42 - 254200 154.2 %
05-11-2013 28.04 - 280400 180.4 %
03-12-2013 28.87 - 288700 188.7 %
03-01-2014 31.89 - 318900 218.9 %
03-02-2014 31.73 - 317300 217.3 %
03-03-2014 33.72 - 337200 237.2 %
03-04-2014 31.38 - 313800 213.8 %
05-05-2014 30.18 - 301800 201.8 %
03-06-2014 30.49 - 304900 204.9 %
03-07-2014 33.27 - 332700 232.7 %
04-08-2014 35.32 - 353200 253.2 %
03-09-2014 37.92 - 379200 279.2 %
07-10-2014 38.84 - 388400 288.4 %
03-11-2014 39.04 - 390400 290.4 %
03-12-2014 41.44 - 414400 314.4 %
05-01-2015 40.35 - 403500 303.5 %
03-02-2015 41.61 - 416100 316.1 %
03-03-2015 44.36 - 443600 343.6 %
06-04-2015 41.08 - 410800 310.8 %
04-05-2015 38.27 - 382700 282.7 %
03-06-2015 39.54 - 395400 295.4 %
03-07-2015 39.14 - 391400 291.4 %
03-08-2015 41.42 - 414200 314.2 %
03-09-2015 42.16 - 421600 321.6 %
05-10-2015 43.08 - 430800 330.8 %
03-11-2015 42.66 - 426600 326.6 %
03-12-2015 40.9 - 409000 309.0 %
04-01-2016 40.82 - 408200 308.2 %
03-02-2016 40.86 - 408600 308.6 %
03-03-2016 40.29 - 402900 302.9 %
04-04-2016 42.19 - 421900 321.9 %
03-05-2016 40.91 - 409100 309.1 %
03-06-2016 42.27 - 422700 322.7 %
04-07-2016 41.7 - 417000 317.0 %
03-08-2016 40.25 - 402500 302.5 %
06-09-2016 38.96 - 389600 289.6 %
03-10-2016 38.64 - 386400 286.4 %
03-11-2016 37.38 - 373800 273.8 %
05-12-2016 38.13 - 381300 281.3 %
03-01-2017 39.38 - 393800 293.8 %
03-02-2017 38.56 - 385600 285.6 %
03-03-2017 40.61 - 406100 306.1 %
03-04-2017 39.97 - 399700 299.7 %
03-05-2017 39.52 - 395200 295.2 %
05-06-2017 40.83 - 408300 308.3 %
03-07-2017 39.82 - 398200 298.2 %
03-08-2017 40.8 - 408000 308.0 %
04-09-2017 39.98 - 399800 299.8 %
03-10-2017 40.92 - 409200 309.2 %
03-11-2017 41.51 - 415100 315.1 %
04-12-2017 44.9 - 449000 349.0 %
03-01-2018 47.37 - 473700 373.7 %
05-02-2018 51.11 - 511100 411.1 %
05-03-2018 51.53 - 515300 415.3 %
03-04-2018 51.29 - 512900 412.9 %
03-05-2018 53.07 - 530700 430.7 %
04-06-2018 53.67 - 536700 436.7 %
03-07-2018 56.02 - 560200 460.2 %
03-08-2018 56.64 - 566400 466.4 %
03-09-2018 60.57 - 605700 505.7 %
03-10-2018 61.89 - 618900 518.9 %
05-11-2018 57.19 - 571900 471.9 %
03-12-2018 56.76 - 567600 467.6 %
03-01-2019 56.58 - 565800 465.8 %
04-02-2019 60.73 - 607300 507.3 %
05-03-2019 60.05 - 600500 500.5 %
03-04-2019 60.09 - 600900 500.9 %
03-05-2019 58.51 - 585100 485.1 %
03-06-2019 58.98 - 589800 489.8 %
03-07-2019 58.25 - 582500 482.5 %
05-08-2019 57.97 - 579700 479.7 %
03-09-2019 60.1 - 601000 501.0 %
03-10-2019 58.42 - 584200 484.2 %
04-11-2019 57.91 - 579100 479.1 %
03-12-2019 56.03 - 560300 460.3 %
03-01-2020 59.12 - 591200 491.2 %
03-02-2020 60.6 - 606000 506.0 %
03-03-2020 58.21 - 582100 482.1 %
03-04-2020 43.61 - 436100 336.1 %
04-05-2020 49.17 - 491700 391.7 %
03-06-2020 52.99 - 529900 429.9 %
03-07-2020 56.79 - 567900 467.9 %
03-08-2020 68.68 - 686800 586.8 %
03-09-2020 74.45 - 744500 644.5 %
05-10-2020 82.87 - 828700 728.7 %
03-11-2020 82.3 - 823000 723.0 %
03-12-2020 89.83 - 898300 798.3 %
04-01-2021 101.57 - 1015700 915.7 %
03-02-2021 103.13 - 1031300 931.3 %
03-03-2021 107.23 - 1072300 972.3 %
05-04-2021 111.66 - 1116600 1016.6 %
03-05-2021 110.71 - 1107100 1007.1 %
03-06-2021 117.87 - 1178700 1078.7 %
05-07-2021 130.62 - 1306200 1206.2 %
03-08-2021 141.73 - 1417300 1317.3 %
03-09-2021 153.42 - 1534200 1434.2 %
04-10-2021 158.01 - 1580100 1480.1 %
03-11-2021 160.95 - 1609500 1509.5 %
03-12-2021 163.02 - 1630200 1530.2 %
03-01-2022 175.18 - 1751800 1651.8 %
03-02-2022 159.72 - 1597200 1497.2 %
03-03-2022 152.59 - 1525900 1425.9 %
04-04-2022 163.27 - 1632700 1532.7 %
04-05-2022 140.42 - 1404200 1304.2 %
03-06-2022 137.32 - 1373200 1273.2 %
04-07-2022 129.51 - 1295100 1195.1 %
03-08-2022 135.27 - 1352700 1252.7 %
05-09-2022 130.97 - 1309700 1209.7 %
03-10-2022 126.74 - 1267400 1167.4 %
03-11-2022 134.67 - 1346700 1246.7 %
05-12-2022 142.98 - 1429800 1329.8 %
03-01-2023 134.68 - 1346800 1246.8 %
03-02-2023 140.54 - 1405400 1305.4 %
03-03-2023 135.53 - 1355300 1255.3 %
03-04-2023 132.01 - 1320100 1220.1 %
03-05-2023 128.7 - 1287000 1187.0 %
05-06-2023 136.71 - 1367100 1267.1 %
03-07-2023 139.36 - 1393600 1293.6 %
03-08-2023 143.3 - 1433000 1333.0 %
04-09-2023 152.45 - 1524500 1424.5 %
03-10-2023 151.62 - 1516200 1416.2 %
03-11-2023 149.85 - 1498500 1398.5 %
04-12-2023 159.7 - 1597000 1497.0 %
03-01-2024 166.45 - 1664500 1564.5 %
05-02-2024 178.59 - 1785900 1685.9 %
04-03-2024 178.91 - 1789100 1689.1 %
03-04-2024 172.84 - 1728400 1628.4 %
03-05-2024 167.36 - 1673600 1573.6 %
03-06-2024 166.91 - 1669100 1569.1 %
03-07-2024 187.86 - 1878600 1778.6 %
05-08-2024 193.93 - 1939300 1839.3 %
03-09-2024 212.99 - 2129900 2029.9 %
03-10-2024 210.99 - 2109900 2009.9 %
04-11-2024 203.18 - 2031800 1931.8 %
03-12-2024 216.14 - 2161400 2061.4 %
03-01-2025 215.98 - 2159800 2059.8 %
14-01-2025 210.51 - 2105100 2005.1 %

RETURNS CALCULATOR for ICICI Prudential Technology Fund - Growth

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

riskometer

Key Performance and Risk Statistics of ICICI Prudential Technology Fund - Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
ICICI Prudential Technology Fund - Growth 18.28 0.08 0.02 0.86 - -
Equity: Sectoral-Technology - - - - - -

PEER COMPARISION of ICICI Prudential Technology Fund - Growth

Amount :
Start :
End :
Period
Data as on - 14-01-2025
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
ICICI Prudential Technology Fund - Growth 03-03-2000 21.11 25.84 6.96 28.51 17.69
HDFC Technology Fund - Growth Option 08-09-2023 25.84 0.0 0.0 0.0 0.0
HDFC Technology Fund - IDCW Option 08-09-2023 25.84 0.0 0.0 0.0 0.0
Franklin India Technology Fund-Growth 22-08-1998 22.82 36.72 14.17 25.6 17.06
Tata Digital India Fund-Regular Plan-Growth 05-12-2015 22.55 28.74 8.54 27.08 0.0
SBI Technology Opportunities Fund - Regular Plan - Growth 01-01-2013 21.85 24.84 10.33 25.85 16.75
Aditya Birla Sun Life Digital India Fund - Growth - Regular Plan 15-01-2000 13.0 25.42 7.19 26.49 18.37
Quant Teck Fund - Growth Option - Regular Plan 11-09-2023 12.57 0.0 0.0 0.0 0.0

PORTFOLIO ANALYSIS of ICICI Prudential Technology Fund - Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

15.06%

Others

6.11%

Large Cap

70.64%

Mid Cap

8.48%

Total

100%