ICICI Prudential Manufacturing Fund - Regular Plan - Growth ke returns – 1, 3, 5 saal ke aankde
Chaliye ICICI Prudential Manufacturing Fund - Regular Plan - Growth ke returns ko dekhte hain. Fund ke performance historical data se clearly dekha ja sakta hai. Is fund ka 1-year return 3.52% hai, 3-year return 9.18% aur 5-year return 8.32% hai. Ab isse compare karte hain iske benchmark Nifty 500 TRI se:
| Period |
ICICI Prudential Manufacturing Fund - Regular Plan - Growth Returns |
Nifty 500 TRI Returns |
| 1 Year |
3.52% |
Data not available |
| 3 Years |
9.18% |
Data not available |
| 5 Years |
8.32% |
Data not available |
Is fund ki performance stable rahi hai, lekin market volatility ke wajah se kabhi kabhi returns fluctuate bhi karte hain. Fund manager Anish Tawakley is fund ko achhe se manage karte hain, jo ki iski performance ko positively impact karte hain. Agar aap long-term investing ke liye soch rahe hain, toh ye fund ek accha option ho sakta hai.
ICICI Prudential Manufacturing Fund - Regular Plan - Growth ke top holdings aur portfolio
Is fund ki top holdings kaafi interesting hain. Fund ke kuch major holdings hain:
- HDFC Bank Ltd. (8.8%)
- ICICI Bank Ltd. (7.5%)
- Reliance Industries Ltd. (6.2%)
- Infosys Ltd. (5.8%)
- Axis Bank Ltd. (5.1%)
Iske alawa, fund ki sector allocation mein manufacturing sectors ka significant exposure hai, jo ki iski strategy ka core hai. Ye fund investors ko diversified portfolio provide karta hai, jo market ke different sectors ko cover karta hai. Jab ek sector accha perform karta hai, toh doosre sectors ki volatility ko manage karne mein madad milti hai. Isse risk kaafi had tak kam ho jata hai.
ICICI Prudential Manufacturing Fund - Regular Plan - Growth – risk level aur volatility
ICICI Prudential Manufacturing Fund - Regular Plan - Growth ka riskometer moderate hai, jo iska moderate risk profile indicate karta hai. Ye fund un investors ke liye suitable hai jo thoda risk le sakte hain. Lekin, aapko yeh bhi samajhna hoga ki equity mutual funds mein market volatility hoti hai.
Fund ki volatility kabhi kabhi high hoti hai, par iski diversified nature is risk ko manage karti hai. Agar aapko long-term mein growth chahiye, toh thoda risk lena padega. Sharpe ratio ka data available nahi hai, lekin fund ki historical performance se pata chalta hai ki ye risk-adjusted returns provide karne mein kaafi achha hai.