ICICI Prudential Retirement Fund Hybrid Aggressive Plan Direct Growth

Hybrid
Aggressive Hybrid
Moderately High Risk
5Y Lock In
+23.35%
3Y annualised
-0.03% 1D
1M
6M
1Y
3Y
5Y
All
NAV: 14 Oct 2025
₹29.48
Rating
4
Min. SIP amount
₹100
Fund size
₹937.42Cr

Return calculator

Monthly SIP
One-Time
₹5,000 per month
Over the past
Total investment of 0
Would have become (%)

Holdings (101)

NameSectorInstrumentAssets
AutomobileEquity4.48%
ServicesEquity4.24%
ServicesEquity3.40%
Metals & MiningEquity2.86%
Capital GoodsEquity2.50%
FinancialEquity2.46%
ServicesEquity2.42%
CommunicationEquity2.30%
FinancialEquity2.30%
ChemicalsEquity2.27%
ConstructionEquity2.15%
GOI
SovereignGOI Sec2.05%
TechnologyEquity2.01%
ConstructionEquity1.99%
Metals & MiningEquity1.98%
TechnologyEquity1.83%
HealthcareEquity1.81%
FinancialEquity1.75%
Metals & MiningEquity1.68%
ServicesEquity1.63%
FinancialDebenture1.63%
Metals & MiningEquity1.61%
Summit Digitel Infrastructure Pvt. Ltd.
CommunicationDebenture1.60%
Metals & MiningEquity1.58%
ServicesEquity1.42%
Metals & MiningEquity1.25%
ChemicalsEquity1.24%
ConstructionEquity1.16%
AutomobileEquity1.14%
FinancialEquity1.13%
LIC Housing Finance Ltd.
FinancialDebenture1.12%
AutomobileEquity1.08%
Metals & MiningEquity1.03%
Capital GoodsEquity1.01%
CommunicationEquity0.99%
ServicesEquity0.98%
TextilesEquity0.97%
GOI
SovereignGOI Sec0.97%
TechnologyEquity0.93%
ServicesEquity0.93%
ChemicalsEquity0.90%
Capital GoodsEquity0.85%
GOI
SovereignGOI Sec0.83%
AutomobileEquity0.79%
GOI
SovereignGOI Sec0.73%
ChemicalsEquity0.73%
ConstructionEquity0.71%
Consumer StaplesEquity0.66%
Consumer DiscretionaryEquity0.65%
FinancialEquity0.63%
ChemicalsEquity0.59%
Consumer DiscretionaryEquity0.58%
ChemicalsEquity0.58%
HealthcareEquity0.56%
Capital GoodsEquity0.56%
HDFC Bank Ltd.
FinancialDebenture0.55%
Muthoot Finance Ltd.
FinancialDebenture0.54%
Capital GoodsEquity0.54%
Vedanta Ltd.
Metals & MiningDebenture0.53%
Capital GoodsEquity0.52%
Metals & MiningEquity0.51%
ServicesEquity0.48%
Metals & MiningEquity0.48%
HealthcareEquity0.47%
ChemicalsEquity0.47%
CommunicationPPE0.46%
ChemicalsEquity0.45%
TechnologyEquity0.41%
FinancialEquity0.39%
Nirma Ltd.
Consumer StaplesDebenture0.38%
ConstructionEquity0.37%
ChemicalsEquity0.36%
FinancialEquity0.35%
FinancialEquity0.35%
HealthcareEquity0.34%
ChemicalsEquity0.34%
FinancialBonds0.32%
AutomobileEquity0.32%
FinancialBonds0.30%
FinancialEquity0.28%
TechnologyEquity0.26%
AutomobileEquity0.25%
ConstructionEquity0.24%
ConstructionEquity0.23%
FinancialNCD0.22%
FinancialBonds0.22%
HealthcareEquity0.21%
India Universal Trust AL1
OthersSec. Debt0.20%
Capital GoodsEquity0.19%
TextilesEquity0.19%
Consumer DiscretionaryEquity0.14%
ConstructionREITs0.12%
Consumer DiscretionaryEquity0.11%
ChemicalsEquity0.10%
India Universal Trust AL1
OthersSec. Debt0.09%
FinancialEquity0.09%
India Universal Trust AL1
OthersSec. Debt0.09%
ServicesEquity0.07%
ChemicalsEquity0.07%
Consumer StaplesEquity0.06%
ConstructionEquity0.02%
See All

Minimum investment amounts

Min. for 1st investment₹5,000
Min. for 2nd investment onwards₹1,000
Min. for SIP₹100

Returns and rankings

Category: Hybrid Aggressive Hybrid
Annualised returns
Absolute returns
1Y3Y5YAll
Fund returns6.3%23.4%22.2%17.7%
Category average0.6%15.1%16.7%NA
Rank with in category215NA
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Peer Comparison

Expense ratio, exit load and tax

Expense ratio: 0.75%

Inclusive of GST

Exit load

Nil

Stamp duty

0.005% (from July 1st, 2020)

Tax implication

Returns are taxed at 20%, if you redeem before one year. After 1 year, you are required to pay LTCG tax of 12.5% on returns of Rs 1.25 lakh+ in a financial year.

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Check past data

Fund management

Manasvi Shah
Aug 2025 - Present
View details

Education
CA, B.Com, CFA Level - 2
Experience
She joined ICICI Prudential Asset Management Company Limited in September 2015 and has experience of over 7 years.
Also manages these schemes

Fund house & investment objective

Fund house contact details

Address
One BKC , A Wing ,13th Floor, Bandra Kurla Complex, Mumbai 400051
Phone
NA
Launch Date
12 Oct 1993
E-mail
NA
ICICI Prudential Mutual Fund
Asset Management Company
Custodian
NA
Registrar & Transfer Agent
Cams
Address
7th Floor, Tower II, Rayala Towers, 158, Anna Salai,

Pros and cons

Category: Hybrid Aggressive Hybrid

Pros

Higher alpha: 5.46 The fund has generated returns higher than benchmark - CRISIL Hybrid 35+65 Aggressive Index - in the last 3Y
Exit load is zero
Lower expense ratio: 0.75%
Average credit rating of the fund's holdings: AAA This fund has holdings of the highest quality
Consistently higher annualised returns than category average for the past 1Y, 3Y and 5Y
1Y category rank: 2, 3Y category rank: 3

Cons

Lock-in period: 5Y

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