|
ICICI Prudential Life - Pinnacle Fund II
|
Category
Conservative Allocation
|
Latest NAV
17.7989
|
NAV Date
Jun 14, 2021
|
|
ICICI Prudential Life - Group Debt Fund
|
Category
Group Bond
|
Latest NAV
52.4586
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Bluechip Fund
|
Category
Large-Cap
|
Latest NAV
48.7068
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Flexi Balanced Fund IV
|
Category
Balanced Allocation
|
Latest NAV
55.0638
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Group Capital Guarantee Balanced Fund
|
Category
Guaranteed Funds
|
Latest NAV
43.0046
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Health Protector Fund
|
Category
Medium to Long Duration
|
Latest NAV
40.2242
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Group Capital Guarantee Debt Fund
|
Category
Guaranteed Funds
|
Latest NAV
54.3602
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Flexi Growth Fund II
|
Category
Multi-Cap
|
Latest NAV
74.4059
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Group Growth Fund
|
Category
Group Allocation
|
Latest NAV
137.3922
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Multi Cap Balanced Fund
|
Category
Balanced Allocation
|
Latest NAV
44.4117
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Group Capital Guarantee Debt Fund II
|
Category
Guaranteed Funds
|
Latest NAV
42.9808
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Group Leave Encashment Income Fund
|
Category
Group Bond
|
Latest NAV
35.1095
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Health Balancer Fund
|
Category
Conservative Allocation
|
Latest NAV
53.9386
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Multiplier
|
Category
Large-Cap
|
Latest NAV
42.9403
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Health Flexi Balanced Fund
|
Category
Balanced Allocation
|
Latest NAV
66.7454
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Health Flexi Growth Fund
|
Category
Multi-Cap
|
Latest NAV
90.2198
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Maximiser Fund
|
Category
Large-Cap
|
Latest NAV
309.2200
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Income Fund
|
Category
Medium to Long Duration
|
Latest NAV
32.6837
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Maximiser Fund II
|
Category
Large-Cap
|
Latest NAV
198.2981
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Opportunities Fund
|
Category
Multi-Cap
|
Latest NAV
61.5767
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Dynamic P/E Fund
|
Category
Dynamic Asset Allocation
|
Latest NAV
36.1386
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Maximiser Fund II
|
Category
Large-Cap
|
Latest NAV
219.3937
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Maximiser Fund IV
|
Category
Large-Cap
|
Latest NAV
70.2906
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Preserver Fund III
|
Category
Ultra Short Duration
|
Latest NAV
38.7367
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Invest Sheild Fund Life
|
Category
Conservative Allocation
|
Latest NAV
58.1971
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Multi Cap Balanced Fund
|
Category
Balanced Allocation
|
Latest NAV
41.1913
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Bluechip Fund
|
Category
Large-Cap
|
Latest NAV
47.4002
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Group Leave Encashment Balance Fund
|
Category
Group Allocation
|
Latest NAV
40.2811
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Flexi Growth Fund IV
|
Category
Multi-Cap
|
Latest NAV
62.2366
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension R.I.C.H. Fund
|
Category
Multi-Cap
|
Latest NAV
67.6050
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Flexi Balanced Fund
|
Category
Balanced Allocation
|
Latest NAV
50.5069
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Flexi Growth Fund III
|
Category
Multi-Cap
|
Latest NAV
63.6931
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Income Fund
|
Category
Medium to Long Duration
|
Latest NAV
32.5590
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Preserver Fund
|
Category
Ultra Short Duration
|
Latest NAV
43.5999
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Money Market Fund
|
Category
Ultra Short Duration
|
Latest NAV
28.5899
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Health Multiplier Fund
|
Category
Large-Cap
|
Latest NAV
92.6120
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Maximiser Fund III
|
Category
Large-Cap
|
Latest NAV
79.6273
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - R.I.C.H. Fund III
|
Category
Multi-Cap
|
Latest NAV
59.0678
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Secure Plus Pension Fund
|
Category
Conservative Allocation
|
Latest NAV
46.1229
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Multiplier III
|
Category
Large-Cap
|
Latest NAV
47.6320
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Balancer Fund
|
Category
Conservative Allocation
|
Latest NAV
91.3538
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Secure Save Guarantee Fund
|
Category
Conservative Allocation
|
Latest NAV
34.9867
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Balancer Fund IV
|
Category
Conservative Allocation
|
Latest NAV
54.6526
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Multiplier Fund II
|
Category
Large-Cap
|
Latest NAV
50.0013
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Flexi Balanced Fund II
|
Category
Balanced Allocation
|
Latest NAV
63.8503
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Anmol Nivesh Fund
|
Category
Ultra Short Duration
|
Latest NAV
20.9718
|
NAV Date
May 12, 2020
|
|
ICICI Prudential Life - Cash Plus Fund
|
Category
Medium to Long Duration
|
Latest NAV
48.1385
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Preserver Fund
|
Category
Ultra Short Duration
|
Latest NAV
43.0808
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Pension Protector Fund II
|
Category
Medium to Long Duration
|
Latest NAV
51.9373
|
NAV Date
Dec 04, 2025
|
|
ICICI Prudential Life - Dynamic P/E Fund
|
Category
Dynamic Asset Allocation
|
Latest NAV
37.0919
|
NAV Date
Dec 04, 2025
|