Prudential ICICI Power - Dividend
Objective
To generate capital appreciation through investments in equity related securities in core sectors and associated feeder industries.  
Scheme Performance (%) as on Mar 13 , 2007
14 days 1 month 3 months 1 year 3 yrs* Inception*
-4.2 -5.89 -1.19 15.04 37.28 11.65
Top 10 Holdings as on   Feb 28, 2007  
Company Nature Value (Cr.) %
Tata Consultancy Services Ltd. EQ 82.74 5.9
ITC Ltd EQ 81.56 5.82
Infosys Technologies Ltd EQ 68.65 4.9
Bharati Tele - Ventures EQ 57.51 4.1
Deccan Chronicle Holdings Ltd EQ 57.4 4.09
Zee Telefilms Ltd EQ 55.37 3.95
Reliance Industries Ltd EQ 54.1 3.86
AIA Engineering Limited. EQ 51.3 3.66
Punjab National Bank EQ 49.91 3.56
ICICI BANK LTD. EQ 49.73 3.55
Mutual Fund
Prudential ICICI Mutual Fund 
8th Floor, Peninsula Tower, Ganpatrao Kadam Marg,  
Off Senapati Bapat Marg, Lower Parel 
Mumbai 
Tel.-24997000,24999777,  
Asset Management Company
Prudential ICICI Asset Management Company Ltd. 
8th Floor, Peninsula Tower  
Ganpatrao Kadam Marg, Lower Parel 
Mumbai - 400013
Tel.- 24997000, 24999777
Registrar
NA  
*Returns are annualized
   
Email Address enquiry@pruicici.com
Net Asset Value (Rs/Unit) 20.77 As On Mar 13, 2007
Fund Information
Type of Scheme Open Ended
Nature of Scheme Equity
Inception Date Aug 24, 1994 
Face Value(Rs/Unit) 10
Fund Size (Rs. in crores) 1401.8674  on Feb 28, 2007
Increase/Decrease since  Jan 31, 2007 (Rs. in crores) -75.467
Rolled Over To Open Ended
Previous Name ICICI Power
Minimum Investment (Rs) 5000
Purchase Redemptions Daily
NAV Calculation Daily
Entry Load Amount Bet. 0 to 49999999 then Entry load is 2.25%. and Amount greater than 50000000 then Entry load is 0%.
Exit Load Exit Load is 0%.
Last Dividend Declared
  20 % On   Aug 9, 2006 
Top Industry Allocation as on    Feb 28, 2007
Computers - Software & Education 15.0335%
Banks 9.1356%
Pharmaceuticals 8.6186%
Telecom 7.7287%
Entertainment 7.2667%
Diversified 6.9841%
Engineering & Industrial Machinery 6.5587%
Tobacco & Pan Masala 5.8178%
Auto & Auto ancilliaries 5.2156%
Miscellaneous 4.0948%
Asset Allocation as on   Feb 28, 2007 
Equity Debt Money Market
95.94 0.76 3.3


Change in Portfolio(Sector-Wise)(%age)
  -
  -
  -
  -
15
   
12
   
  
9
   
5
   
  
9
   
8
   
  
8
   
5
   
  
7
   
2
   
  
7
   
12
   
  
7
   
7
   
  
 
      Feb 28, 2007
   Jan 31, 2007
 
A Computers - Software & Education
B Banks
C Pharmaceuticals
D Telecom
E Entertainment
F Diversified
G Engineering & Industrial Machinery
A B C D E F G


Compare Performance Portfolio AMC Snapshot Dividend History News Historical NAV

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