ICICI Prudential Mutual Fund

ICICI Prudential Equity Minimum Variance Fund Direct-Growth

Equity: Thematic-Other - Growth (Open ended)
Risk levelCategoryBenchmark
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Factsheet
SEBI Riskometer: Very HighCategory: Equity: Thematic-OtherBenchmark: NIFTY 50 Total Return Index
NAV: ₹10.8-0.09%
07 Jul 2026

Holdings Analysis

Equity, debt and cash allocation snapshot with market cap distribution for ICICI Prudential Equity Minimum Variance Fund Direct-Growth.

Asset Allocation

As on 31 May 2026
Equity
97.15%
Others
2.85%

Market Cap Distribution

Large Cap (98.9%)
Mid Cap (1.1%)

Historical Asset Allocation

Asset31 May 202630 Apr 202631 Mar 202628 Feb 202631 Jan 202631 Dec 2025
Equity97.15%91.22%98.00%96.48%95.21%96.36%
Debt0.00%0.00%0.00%0.00%0.00%0.39%
Others (incl. cash)2.85%8.78%1.67%2.28%3.67%2.24%
Commodities0.00%0.00%0.00%0.00%0.00%0.00%
Real Estate0.00%0.00%0.33%1.23%1.12%1.01%

Portfolio Snapshot

No. of Securities
37
P/E Ratio
22.28
P/B Ratio
3.30
Top Holding %
9.53%
Top 5 Holdings %
34.00%
Top 10 Holdings %
55.79%
AUM
₹2,925 Cr
Expense Ratio
1.84%
Since Inception
4.98%
Max Drawdown
-0.14%

Top Portfolio Holdings by Weight

Latest portfolio holdings sorted by allocation weight. Includes instrument name, sector, number of shares, market value (₹ Cr) and percentage of net assets. Switch dates or categories using the controls below.
InstrumentSectorNo. of SharesValue (Rs. Cr)WeightChange
Reliance Industries Ltd.Energy21,10,000278.779.53%-0.58%
HDFC Bank Ltd.Financial27,50,327204.787.00%-0.50%
State Bank of IndiaFinancial20,00,000192.886.59%-
Infosys Ltd.Technology14,00,000162.535.56%0.61%
Kotak Mahindra Bank Ltd.Financial40,50,000155.65.32%2.10%
ICICI Bank Ltd.Financial11,00,000138.24.72%0.07%
Axis Bank Ltd.Financial10,62,500136.74.67%1.49%
Bajaj Finserv Ltd.Financial7,33,605130.854.47%0.18%
Grasim Industries Ltd.Materials4,07,218127.154.35%0.60%
Bajaj Auto Ltd.Automobile1,00,000104.63.58%-1.95%
ITC Ltd.Consumer Staples36,00,000103.283.53%1.63%
Apollo Hospitals Enterprise Ltd.Healthcare1,16,39995.173.25%0.82%
Larsen & Toubro Ltd.Construction2,25,00091.723.14%0.99%
Tata Consultancy Services Ltd.Technology3,46,30878.232.67%0.60%
Britannia Industries Ltd.Consumer Staples1,40,00072.862.49%-0.40%
Ultratech Cement Ltd.Materials60,00068.892.36%0.03%
Hindustan Unilever Ltd.Consumer Staples3,00,39364.692.21%-0.27%
HCL Technologies Ltd.Technology5,38,39263.732.18%0.57%
HDFC Life Insurance Co Ltd.Insurance10,57,46362.92.15%-2.12%
NTPC Ltd.Energy15,00,00058.041.98%0.11%
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Sector-wise Portfolio Allocation

Equity exposure by sector as a percentage of total net assets, tracked across recent portfolio dates. Identifies concentration risk and sector rotation trends in the fund's holdings.
Sector31 May 202630 Apr 202631 Mar 202628 Feb 202631 Jan 202631 Dec 2025
Financial
34.44%
19.68%
29.51%
24.76%
24.15%
23.34%
Energy
13.16%
14.03%
7.81%
11.20%
11.82%
9.77%
Technology
12.87%
11.76%
10.79%
8.69%
8.77%
9.70%
Consumer Staples
8.23%
7.20%
10.87%
9.90%
9.59%
9.82%
Materials
6.70%
6.07%
8.13%
8.27%
5.97%
6.23%
Healthcare
6.14%
8.42%
4.04%
8.73%
8.83%
8.23%
Insurance
4.24%
5.99%
6.59%
6.41%
6.58%
8.10%
Automobile
4.15%
8.50%
9.13%
8.62%
9.46%
9.93%
Construction
3.34%
2.15%
2.39%
1.75%
2.13%
2.12%
Services
1.99%
1.44%
3.20%
3.19%
2.93%
3.14%
Communication
1.25%
4.52%
3.97%
3.74%
3.90%
4.93%
Capital Goods
0.50%
1.44%
0.51%
---
Consumer Discretionary
0.14%
-
1.06%
1.23%
1.08%
1.05%

Equity Insights

A detailed look at the equity holdings of this scheme — aggregated scores on value, momentum, quality parameters along with diversification and performance analysis.

Style Analysis

Value score

56.5 / 100

Weighted average Value score is 56.5. This indicates that portfolio is relatively reasonably valued using composite of value measures.

Price Momentum score

54.8 / 100

Weighted average Price Momentum score is 54.8. This indicates that portfolio has average momentum using composite of momentum measures.

Quality score

78.1 / 100

Weighted average Quality score is 78.1. This indicates that portfolio has high quality using composite of quality measures.

QVM score

74.1 / 100

Weighted average QVM score is 74.1. This indicates that portfolio has average QVM score and hence a neutral stance is warranted.

Red Flags

Declining revenues
Following companies have seen their sales decline for 2 consecutive quarters (measured on yoy basis): GAIL (India) Ltd.
Negative cash flow from operations
Following companies have not generated positive operating cash flow for 2 consecutive financial years: Bajaj Finserv Ltd., Grasim Industries Ltd., Life Insurance Corporation of India
High leverage
Following companies have debt to equity of greater than 2:
NameValue
Grasim Industries Ltd.2.2
TVS Motor Company Ltd.3.43
Interglobe Aviation Ltd.11.15

Frequently Asked Questions

What are the top holdings of ICICI Prudential Equity Minimum Variance Fund Direct-Growth?
The top holdings of ICICI Prudential Equity Minimum Variance Fund Direct-Growth sorted by portfolio weight are listed in the Top Portfolio Holdings section of the Holdings tab.
How many stocks does ICICI Prudential Equity Minimum Variance Fund Direct-Growth hold in its portfolio?
ICICI Prudential Equity Minimum Variance Fund Direct-Growth holds 37 securities in its portfolio. The top 5 holdings account for 34.00% of the portfolio and the top 10 for 55.79%.
What is the sector allocation of ICICI Prudential Equity Minimum Variance Fund Direct-Growth?
The sector allocation of ICICI Prudential Equity Minimum Variance Fund Direct-Growth is in the Sector Allocation section, showing each industry's weight in the portfolio.
What is the equity and debt allocation of ICICI Prudential Equity Minimum Variance Fund Direct-Growth?
As of 31 May 2026, ICICI Prudential Equity Minimum Variance Fund Direct-Growth has 97.15% in equity, 0.00% in debt and 2.85% in cash/others. This asset mix determines the fund's overall risk-return profile.
What is the market cap allocation of ICICI Prudential Equity Minimum Variance Fund Direct-Growth?
ICICI Prudential Equity Minimum Variance Fund Direct-Growth's equity portfolio — Large Cap: 98.92%, Mid Cap: 1.08%. Market cap allocation determines the fund's risk profile — large cap offers stability while mid and small cap offer higher growth potential with higher volatility.
Is ICICI Prudential Equity Minimum Variance Fund Direct-Growth a concentrated or diversified fund?
ICICI Prudential Equity Minimum Variance Fund Direct-Growth holds 37 securities, with the top 10 accounting for 55.79% of the portfolio and the top 5 for 34.00%. This is a moderately diversified fund balancing conviction positions with risk spread.
What is the credit quality of ICICI Prudential Equity Minimum Variance Fund Direct-Growth?
The credit quality breakdown of ICICI Prudential Equity Minimum Variance Fund Direct-Growth's debt portfolio is in the Credit Rating section. For equity-oriented funds, this section may not be applicable.
How often does ICICI Prudential Equity Minimum Variance Fund Direct-Growth change its portfolio?
The portfolio currently holds 37 securities with the top 10 accounting for 55.79% as of 31 May 2026. Portfolio turnover reflects how actively the fund manager trades. A high turnover increases transaction costs while a low turnover reflects a buy-and-hold approach. Historical asset allocation snapshots across multiple dates are in the Holdings Analysis section.
What is the PE ratio of ICICI Prudential Equity Minimum Variance Fund Direct-Growth's portfolio?
The weighted average PE ratio of ICICI Prudential Equity Minimum Variance Fund Direct-Growth's portfolio is 22.28 and the PB ratio is 3.30. These metrics reflect the overall valuation and interest rate sensitivity of the portfolio.
When is the latest portfolio disclosure for ICICI Prudential Equity Minimum Variance Fund Direct-Growth?
The latest portfolio disclosure for ICICI Prudential Equity Minimum Variance Fund Direct-Growth is as of 31 May 2026. Mutual funds and ETFs in India are required to disclose their full portfolio monthly, within 10 business days of month-end. You can switch between historical disclosure dates using the date selector in the Top Portfolio Holdings section.