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ICICI Pru NASDAQ 100 Index Reg IDCW-R

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Scheme Information

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ICICI Pru NASDAQ 100 Index Reg IDCW-R

as of 16 Mar 2026, 13:16 PM

Scheme Asset Size₹2800.89 Cr
Expense Ratio1.08%
Cash Holding0.29021%
Fund TypeOpen-End
PlanDividend
BenchmarkNASDAQ 100 TR USD
Launch Date2021-10-18
Exit LoadExit load of 0.00% for investments if redeemed within 1 Years

SIP Calculator

12%
₹5,000
₹500₹10,00,000
10 Years
1 Year40 Years
Invested Amount
Estimated Return

Invested Amount

₹6,00,000

Est. Return

₹5,61,695

Total Value

₹11,61,695

Invested Amount
Estimated Return
Invest Now

Scheme Ratings

-

rated by Value Research

Scheme Riskometer

Your principal will be at Very High Risk

Investment Returns

Absolute Returns

CAGR

In the last 1 months 0.42%
In the last 3 months -1.14%
In the last 6 months 5.72%
In the last 1 Years 33.77%
In the last 3 Years 1.28%
In the last 5 Years 0.00%

Company Holdings

Company Name
Sector
Instrument
Assets
NVIDIA CorpTechnologyE8.38%
Apple IncTechnologyE7.60%
Microsoft CorpTechnologyE5.68%
Amazon.com IncConsumer CyclicalE4.37%
Tesla IncConsumer CyclicalE3.91%
Meta Platforms Inc Class ACommunication ServicesE3.70%
Alphabet Inc Class ACommunication ServicesE3.53%
Walmart IncConsumer DefensiveE3.36%
Alphabet Inc Class CCommunication ServicesE3.28%
Broadcom IncTechnologyE2.94%
Micron Technology IncTechnologyE2.49%
Costco Wholesale CorpConsumer DefensiveE2.41%
Netflix IncCommunication ServicesE2.19%
Advanced Micro Devices IncTechnologyE1.75%
Cisco Systems IncTechnologyE1.69%
Palantir Technologies Inc Ordinary Shares - Class ATechnologyE1.68%
Applied Materials IncTechnologyE1.59%
Lam Research CorpTechnologyE1.58%
T-Mobile US IncCommunication ServicesE1.30%
Linde PLCBasic MaterialsE1.27%
PepsiCo IncConsumer DefensiveE1.25%
Intel CorpTechnologyE1.17%
Amgen IncHealthcareE1.12%
KLA CorpTechnologyE1.08%
Texas Instruments IncTechnologyE1.04%
Gilead Sciences IncHealthcareE0.99%
Intuitive Surgical IncHealthcareE0.96%
Analog Devices IncTechnologyE0.94%
Honeywell International IncIndustrialsE0.83%
Qualcomm IncTechnologyE0.82%
Shopify Inc Registered Shs -A- Subord VtgTechnologyE0.79%
Booking Holdings IncConsumer CyclicalE0.73%
AppLovin Corp Ordinary Shares - Class ACommunication ServicesE0.72%
ASML Holding NV ADRTechnologyE0.68%
Vertex Pharmaceuticals IncHealthcareE0.68%
Palo Alto Networks IncTechnologyE0.65%
Constellation Energy CorpUtilitiesE0.64%
Intuit IncTechnologyE0.61%
Comcast Corp Class ACommunication ServicesE0.60%
Starbucks CorpConsumer CyclicalE0.60%
Adobe IncTechnologyE0.59%
Western Digital CorpTechnologyE0.51%
CrowdStrike Holdings Inc Class ATechnologyE0.50%
Marriott International Inc Class AConsumer CyclicalE0.49%
MercadoLibre IncConsumer CyclicalE0.48%
Seagate Technology Holdings PLCTechnologyE0.47%
Automatic Data Processing IncTechnologyE0.47%
Monster Beverage CorpConsumer DefensiveE0.45%
Cadence Design Systems IncTechnologyE0.44%
Cintas CorpIndustrialsE0.43%
Regeneron Pharmaceuticals IncHealthcareE0.43%
CSX CorpIndustrialsE0.43%
Mondelez International Inc Class AConsumer DefensiveE0.43%
O'Reilly Automotive IncConsumer CyclicalE0.43%
Synopsys IncTechnologyE0.41%
DoorDash Inc Ordinary Shares - Class AConsumer CyclicalE0.39%
American Electric Power Co IncUtilitiesE0.38%
Marvell Technology IncTechnologyE0.38%
Warner Bros. Discovery Inc Ordinary Shares - Class ACommunication ServicesE0.38%
PDD Holdings Inc ADRConsumer CyclicalE0.37%
Ross Stores IncConsumer CyclicalE0.36%
PACCAR IncIndustrialsE0.36%
Baker Hughes Co Class AEnergyE0.35%
Fortinet IncTechnologyE0.32%
Airbnb Inc Ordinary Shares - Class AConsumer CyclicalE0.31%
NXP Semiconductors NVTechnologyE0.31%
Monolithic Power Systems IncTechnologyE0.29%
Ferrovial SEIndustrialsE0.29%
Fastenal CoIndustrialsE0.28%
IDEXX Laboratories IncHealthcareE0.28%
Autodesk IncTechnologyE0.28%
Coca-Cola Europacific Partners PLCConsumer DefensiveE0.27%
Electronic Arts IncCommunication ServicesE0.27%
Exelon CorpUtilitiesE0.27%
Diamondback Energy IncEnergyE0.27%
Xcel Energy IncUtilitiesE0.26%
Alnylam Pharmaceuticals IncHealthcareE0.24%
PayPal Holdings IncFinancial ServicesE0.23%
Thomson Reuters CorpIndustrialsE0.23%
Axon Enterprise IncIndustrialsE0.23%
Old Dominion Freight Line Inc Ordinary SharesIndustrialsE0.23%
Keurig Dr Pepper IncConsumer DefensiveE0.22%
Microchip Technology IncTechnologyE0.22%
Take-Two Interactive Software IncCommunication ServicesE0.21%
GE HealthCare Technologies Inc Common StockHealthcareE0.21%
Roper Technologies IncTechnologyE0.20%
Copart IncIndustrialsE0.20%
Datadog Inc Class ATechnologyE0.20%
Strategy Inc Class ATechnologyE0.19%
Paychex IncTechnologyE0.18%
Insmed IncHealthcareE0.17%
Cognizant Technology Solutions Corp Class ATechnologyE0.17%
Charter Communications Inc Class ACommunication ServicesE0.16%
The Kraft Heinz CoConsumer DefensiveE0.16%
Verisk Analytics IncIndustrialsE0.16%
DexCom IncHealthcareE0.15%
Workday Inc Class ATechnologyE0.15%
Zscaler IncTechnologyE0.13%
CoStar Group IncReal EstateE0.10%
ARM Holdings PLC ADRTechnologyE0.09%
Atlassian Corp Class ATechnologyE0.07%
Treps-CR0.43%
Net Current Assets-C0.14%

Sector Holding Analysis

Equity / Debt / Cash Split

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Equity

99.71%

Cash

0.29%

Equity sector allocation

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Basic Materials

1.27%

Communication Services

16.35%

Consumer Cyclical

12.43%

Consumer Defensive

8.54%

Energy

0.61%

Financial Services

0.23%

Healthcare

5.23%

Industrials

3.67%

Real Estate

0.1%

Technology

49.71%

Utilities

1.56%

Others

0.3%

Fund House Contact Details

Websitewww.icicipruamc.com
Phone+91 22 26428000
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ICICI Prudential Asset Management Co Ltd

Asset Management Company

About ICICI Pru NASDAQ 100 Index Reg IDCW-R

Investment Objective of the Scheme

The objective of the Scheme is to invest in companies whose securities are included in NASDAQ-100 Index® and subject to tracking errors, to endeavor to achieve the returns of the above index. However, there is no assurance or guarantee that the investment objective of the scheme shall be achieved.

Key Features of The Fund

5-year return

-

Fund Manager

Sharmila D'Silva

Risk Profile

Very High Risk

Expense Ratio

1.08%

Fund Size

₹2800.89 Cr

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