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<< Prices as on Mar 27, 2026 >>
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6106.7
[-1.70]
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1314.3
[-4.02]
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408.95
[-3.12]
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2207.25
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1205.2
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8902.7
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259.95
[-4.68]
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1842.15
[0.37]
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254.85
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282.55
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5500.4
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1242.65
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445.15
[0.32]
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1877.55
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419.7
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524.3
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1281.95
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137.15
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756.25
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5145.05
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2075
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866.85
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1234.2
[-2.03]
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590.75
[-4.31]
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791.85
[-3.21]
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1270
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294.75
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1130.7
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365.95
[-1.44]
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3565.95
[-2.27]
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2334.95
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3040.9
[-2.78]
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12387.9
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23.01
[-6.80]
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1194.25
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54.12
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77.23
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375.9
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281.95
[4.33]
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105.1
[-4.45]
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295.4
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1348.25
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1020.05
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649.55
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228.6
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1048.1
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303.2
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193.25
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385.7
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2389.85
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1391
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11051.85
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1253.95
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191.45
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73.81
[-2.69]
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NAV HISTORY
You can view the history of all NAV. Search for the scheme to get more details.
ICICI Prudential MidCap Fund
Fund :
ICICI Prudential Mutual Fund
Category :
Equity - Diversified
Type :
Open Ended
NAV(
27/03/2026
)
294.7600
Percentage Returns :
1 Month Ago :
-7.94%
3 Months Ago :
-5.96%
1 Year Ago :
13.51%
Choose Option :
Growth
IDCW
IDCW-Reinvestment
2026
2025
2024
2023
2022
2026
Open :
316.55
Close :
294.76
Return(%) :
-6.88
Month
NAV
Return
Open (Rs.)
Close (Rs.)
Percentage
January
316.5500
307.3700
-2.90
February
303.6900
320.1900
5.43
March
316.8900
294.7600
-6.98
January
316.5500
307.3700
-2.90
February
303.6900
320.1900
5.43
March
316.8900
294.7600
-6.98
January
316.5500
307.3700
-2.90
February
303.6900
320.1900
5.43
March
316.8900
294.7600
-6.98
January
316.5500
307.3700
-2.90
February
303.6900
320.1900
5.43
March
316.8900
294.7600
-6.98
January
316.5500
307.3700
-2.90
February
303.6900
320.1900
5.43
March
316.8900
294.7600
-6.98