Fund Tracker
SchemeICICI Prudential Mutual FundOther Scheme - Index FundsAMFI code 150928

ICICI Prudential Nifty Pharma Index Fund

NAV, ICICI Prudential Nifty Pharma Index Fund - Direct Plan - Growth₹20.910725 Sep 2026 · Source: AMFI
AUM₹122 craverage for April - June 2026, all plans · Source: AMFI
Total expense ratioDirect 0.51 % · Regular 1.18 %a year, as of 27 Sep 2026 · Source: AMFI
Equity held₹157 cr20 stocks · Aug 2026 · Source: AMC file

This month, Aug 2026

compared with Jul 2026
Equity, % of fund99.9%Rest 0.1%: debt, money market, cash, REIT/InvIT units and other assets, not itemised here
Top 10 stocks, % of fund78.8%as the AMC's file prints % of NAV
New0stocks, by share count
Added20stocks, by share count
Trimmed0stocks, by share count
Exited0stocks, by share count

Stocks held by month, last 12 months collected. Source: ICICI Prudential Mutual Fund monthly portfolios.

Changes, Aug 2026 vs Jul 2026

20 stocks · by share count
StockChangeShares beforeShares nowDifferenceValue
SUNPHARMA Added1.59 lakh1.64 lakh+5,542₹32.6 cr
DIVISLAB Added19,02719,688+661₹18.6 cr
CIPLA Added84,25987,200+2,941₹12.3 cr
LAURUSLABS Added58,26160,292+2,031₹11.5 cr
TORNTPHARM Added21,96222,724+762₹11.5 cr
DRREDDY Added91,28294,471+3,189₹10.9 cr
LUPIN Added36,36437,631+1,267₹8.2 cr
AUROPHARMA Added41,44742,891+1,444₹7.4 cr
GLENMARK Added22,54423,325+781₹5.8 cr
ALKEM Added8,7599,056+297₹4.8 cr
BIOCON Added1.07 lakh1.11 lakh+3,734₹4.6 cr
ZYDUSLIFE Added37,46238,768+1,306₹4.5 cr
IPCALAB Added20,79821,518+720₹4.2 cr
MANKIND Added16,95017,534+584₹4.2 cr
GLAND Added11,92712,341+414₹3.6 cr
SAILIFE Added20,65821,374+716₹3.1 cr
WOCKPHARMA Added12,36212,788+426₹2.4 cr
AJANTPHARM Added6,3026,516+214₹2.3 cr
PPLPHARMA Added93,13896,391+3,253₹2.1 cr
ABBOTINDIA Added777795+18₹2.1 cr

Value: this month's market value in the AMC's file (an exit: last month's). "ISIN changed" = a split or bonus between the months; share counts are not comparable across it. Source: ICICI Prudential Mutual Fund monthly portfolios.

Full portfolio, Aug 2026 (20 stocks)

CSV, with the 11 months before
Sector
SUNPHARMA Sun Pharmaceutical Industries Limited Healthcare1.64 lakh₹32.6 cr20.76%
DIVISLAB Divi's Laboratories Limited Healthcare19,688₹18.6 cr11.88%
CIPLA Cipla Limited Healthcare87,200₹12.3 cr7.83%
LAURUSLABS Laurus Labs Limited Healthcare60,292₹11.5 cr7.36%
TORNTPHARM Torrent Pharmaceuticals Limited Healthcare22,724₹11.5 cr7.34%
DRREDDY Dr. Reddy's Laboratories Limited Healthcare94,471₹10.9 cr6.95%
LUPIN Lupin Limited Healthcare37,631₹8.2 cr5.25%
AUROPHARMA Aurobindo Pharma Limited Healthcare42,891₹7.4 cr4.69%
GLENMARK Glenmark Pharmaceuticals Limited Healthcare23,325₹5.8 cr3.69%
ALKEM Alkem Laboratories Limited Healthcare9,056₹4.8 cr3.08%
BIOCON Biocon Limited Healthcare1.11 lakh₹4.6 cr2.90%
ZYDUSLIFE Zydus Lifesciences Limited Healthcare38,768₹4.5 cr2.87%
IPCALAB IPCA Laboratories Limited Healthcare21,518₹4.2 cr2.71%
MANKIND Mankind Pharma Limited Healthcare17,534₹4.2 cr2.70%
GLAND Gland Pharma Limited Healthcare12,341₹3.6 cr2.27%
SAILIFE Sai Life Sciences Limited Healthcare21,374₹3.1 cr1.99%
WOCKPHARMA Wockhardt Limited Healthcare12,788₹2.4 cr1.54%
AJANTPHARM Ajanta Pharma Limited Healthcare6,516₹2.3 cr1.50%
PPLPHARMA Piramal Pharma Limited Healthcare96,391₹2.1 cr1.32%
ABBOTINDIA Abbott India Limited Healthcare795₹2.1 cr1.31%

Equity rows as disclosed, Aug 2026. Source: ICICI Prudential Mutual Fund monthly portfolio.

Sectors, Aug 2026

% of equity held
  1. Healthcare
    100.0%

AMFI's 22 sectors; one sector per stock, from the fund houses' industry labels. Source: ICICI Prudential Mutual Fund monthly portfolio; AMFI.

Large, mid and small cap, Aug 2026

% of equity held
  1. Large Cap
    47.8%
  2. Mid Cap
    45.0%
  3. Small Cap
    7.1%

AMFI's list of Jun 2026. Source: ICICI Prudential Mutual Fund monthly portfolio; AMFI.

Returns, ICICI Prudential Nifty Pharma Index Fund - Direct Plan - Growth

NAV to NAV · Source: AMFI
PeriodReturnFromTo
1 year+23.01 % in total 25 Sep 2025 · NAV ₹16.998825 Sep 2026 · NAV ₹20.9107
3 years+21.63 % a year, compounded 25 Sep 2023 · NAV ₹11.614625 Sep 2026 · NAV ₹20.9107
Since first NAV+21.73 % a year, compounded 15 Dec 2022 · NAV ₹9.942325 Sep 2026 · NAV ₹20.9107

Past performance may not be sustained in future.

Point-to-point change in the plan's NAV between the two dates shown, as AMFI publishes it; over a year, compounded a year. A period is shown only when a NAV exists within 7 days before its start date. Source: AMFI NAV files (plan code 150930).

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