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ICICI Prudential Multi Asset Fund - Regular Plan

Multi Asset Allocation
High Risk
Rs 34.90  
-0.07
  |  
 NAV as on Sep 22, 2025
Benchmark
Nifty 200 Total Return
Expense Ratio
1.38%
Fund Category
Hybrid - Multi Asset Allocation
Fund Size
Rs 64,770 Crores
Exit Load
1.00%
Min. Investment
Rs 5,000

Nav Chart

1W
1M
3M
6M
YTD
1Y
3Y
5Y
10Y

Asset Allocation

Sector Allocation

ICICI Prudential Multi Asset Fund - Regular Plan Fund Details

Investment Objective - To generate capital appreciation by actively investing in equity and equity related securities. For defensive considerations, the scheme may invest in debt, money market instruments and derivatives. The investment manager will have the discretion to take aggressive asset calls i.e. by investing 100% invested in equity market/equity related instruments at a given point of time and 0% at another, in which case, the fund may be invested in debt related instruments at its discretion. The AMC may choose to churn the portfolio of the scheme in order to achieve the investment objective. The scheme is suitable for investors seeking high returns and for those who are willing to take commensurate risks.

Return Since Launch
5.92%
Launch Date
Oct 31, 2002
Type
Open Ended
Riskometer
High

Ratio Analysis

Standard Deviation
7.05 vs NA
Fund Vs Category Avg
Beta
0.74 vs NA
Fund Vs Category Avg
Sharpe Ratio
1.70 vs NA
Fund Vs Category Avg
Portfolio Turnover Ratio
25.00 vs NA
Fund Vs Category Avg

Performance Analysis

1W
1M
3M
6M
1Y
3Y
5Y
10Y
SI
Fund Returns (%)-0.022.041.786.0712.3412.2715.955.035.92
Category Average (%)0.263.003.8310.015.904.695.15NA17.85
Rank within Category7910411611095413135111

* Returns over 1 year are CAGR

Peer Comparision

Scheme Name(IDCW Regular)
NAV (Rs)
AUM (Rs Cr)
1W(%)
1M(%)
3M(%)
6M(%)
1Y(%)
3Y(%)
5Y(%)
10Y(%)
SI(%)
ER(%)
34.9064,770-0.022.041.786.071.9612.2715.955.035.921.38
14.108,3741.075.017.7714.946.75NANANA19.021.73
22.706,9590.293.666.1513.8810.6419.8918.61NA17.571.44
29.355,941-0.362.101.866.73-1.0513.9311.025.886.631.73
17.624,7150.162.013.009.10-1.165.807.044.122.861.89
13.734,4470.322.864.094.22-0.14NANANA12.781.81
24.034,0480.301.822.9510.405.1514.6117.30NA17.161.83
13.713,8780.514.586.1212.066.71NANANA17.221.55
133.643,6660.193.013.6812.633.2818.8126.4417.3311.191.82
12.642,6690.173.173.5410.868.26NANANA15.291.86
View All
Sep 22, 2025

Return Calculator

Over the past

Invested
5000
  • Invested Amount
  • Estimated Return

Total investment of ₹5000

Would have become ₹5,098 (+1.96%)

Fund Manager

Sankaran Naren
Ihab Dalwai
Masoomi Jhurmarvala

Mr. Sankaran holds B.Tech degree from IIT Chennai and finished MBA in finance from IIM Kolkota. He has an overall experience of over 19 years in almost all spectrum of the financial services industry ranging from investment banking, Fund Management, Equity Research, and stock broking operations. His core competency lies in being involved in the entire gamut of equity market space. He has worked with various financial services companies like Refco Sify Securities India Pvt. Ltd., HDFC Securities Ltd. and Yoha Securities in various positions prior to joining ICICI Prudential AMC.

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Here is the list of funds managed by Sankaran Naren

Scheme Name(IDCW Regular)
Category
NAV(Rs)
AUM(Rs Cr)
1Y(%)
5Y(%)
Hybrid - Dynamic Asset Allocation/Balanced Advantage19.2465,711-2.834.97
Hybrid - Multi Asset Allocation34.9064,7701.9615.95
Equity - Value40.2153,750-9.1312.67
Hybrid - Aggressive44.6045,168-0.4718.97
Equity - Sectoral/Thematic23.4029,871-8.7420.98
Others - Fund of Funds93.8027,2586.579.82
Equity - Sectoral/Thematic10.2010,1230.49NA
Others - Fund of Funds176.955,9773.5919.81
Equity - Sectoral/Thematic11.571,831NANA
Equity - Sectoral/Thematic37.521,369-8.5813.64
View All
Sep 22, 2025

Top Performing Related Funds

Scheme Name(IDCW Regular)
NAV (Rs)
AUM (Rs Cr)
1W(%)
1M(%)
3M(%)
6M(%)
1Y(%)
3Y(%)
5Y(%)
10Y(%)
SI(%)
ER(%)
32.8071,8400.061.051.869.63-8.358.6711.864.577.091.42
19.2465,711NA1.262.789.38-2.832.704.971.473.551.44
34.9064,770-0.022.041.786.071.9612.2715.955.035.921.38
40.2153,7500.021.111.859.15-9.139.2712.672.506.811.51
44.6045,1680.181.252.277.44-0.4713.8918.977.355.941.56
15.1532,5930.06-0.060.211.052.372.702.010.872.240.95
Sep 22, 2025
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