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InvestVerdict

ICICI Prudential Banking & Financial Services Fund

Direct Plan · Growth · Sectoral / Thematic · Scheme code 120244

Fund houseICICI Prudential Mutual Fund
CategorySectoral / Thematic
Plan & optionDirect · Growth
History13.7 years

Returns (%)

 1M3M6M1Y3Y5Y7Y10YLaunch
This scheme 0.844.69-3.04 1.9811.1210.82 12.6312.5914.57
Nifty 500
benchmark
0.874.312.15 5.2012.4911.41 15.49
Sectoral / Thematic
category median
6.9716.9114.34 15.17

Over a year annualised (CAGR), under a year absolute. Computed from AMFI's published NAV history for this scheme.

Risk

 VolatilitySharpeSortinoBetaAlphaMax fall
This scheme 19.6% 0.24 0.33 1.19 -3.32% -47.8% 81.76
Nifty 500
benchmark
17.2%0.35 0.47 -37.3%

Risk-free rate 6.5%. Beta, alpha and R² are regressed on the 83 months this scheme and its benchmark share.

Growth of ₹100 since launch

262604937262014201620182020202220242026InvestVerdict

Drawdown from peak (%)

0%-17%-34%-51%2014201620182020202220242026

Every one-year period it has lived through

WindowsWorstMedianBestPeriods that lost money
623 -39.9% 15.6% 100.5% 21%

Every one-year holding period in this scheme's history, not just the last one — the spread a real investor would have met depending only on when they started.

InvestVerdict

ICICI Prudential Banking & Financial Services Fund

Direct Plan · Growth

Allocation

By asset

Equity97.38%
Cash & Equivalents2.47%
Debt0.24%

By market cap

Concentration

Number of stocks43
Top 5 stocks50.49%
Top 10 stocks68.49%
Top 20 stocks87.05%
Largest holding15.77%
Largest sectorBanks 51.76%
Effective stocks14.1
Cash2.47%
InvestVerdict

ICICI Prudential Banking & Financial Services Fund

Direct Plan · Growth · holdings

Top 18 holdings

#CompanySector% of fund
1 Banks15.77%
2 Banks14.28%
3 Banks9.32%
4 Banks6.02%
5 Insurance5.10%
6 Banks4.59%
7 Finance3.60%
8 Insurance3.30%
9 Finance3.26%
10 Insurance3.25%
11 Finance2.46%
12 Finance2.32%
13 Unclassified2.07%
14 Finance2.06%
15 Insurance2.01%
16 Finance1.96%
17 Finance1.85%
18 Finance1.73%

Sector split

Banks — 51.7%Finance — 24.6%Insurance — 17.2%Capital Markets — 3.4%Other — 3.2%Banks51.7%Finance24.6%Insurance17.2%Capital Markets3.4%Other3.2%
Banks51.71%
Finance24.62%
Insurance17.22%
Capital Markets3.38%
Cash & Equivalents2.37%
Commercial Services & Supplies0.29%
Financial Technology (Fintech)0.26%
SOV0.24%

A ₹10,000 monthly SIP over five years

InvestedValueGainXIRR
₹600,000 ₹783,231 ₹183,231 10.61%

XIRR, not CAGR — a SIP's money arrives over sixty months, so each instalment has been invested for a different length of time.

Not investment advice. InvestVerdict is not a SEBI-registered Investment Adviser or Research Analyst. Every figure is computed from AMFI's published NAV history and the portfolio the AMC filed with AMFI; none of it is a recommendation to buy, hold or sell. Past returns do not predict future ones. Generated 29 Aug 2026.