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ICICI Prudential Dynamic Term Fund

· · Mutual fund · Scheme code 130937

Fund houseICICI Prudential Mutual Fund
CategoryMutual fund
Plan & optionRegular ·
History5.5 years

Returns (%)

 1M3M6M1Y3Y5Y7Y10YLaunch
This scheme 2.753.436.15 12.128.278.99 ——9.45

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

Risk

 VolatilitySharpeSortinoBetaAlphaMax fallR²
This scheme 3.2% 0.55 0.92 — — -3.7% —

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

Growth of ₹100 since launch

95120144169201620182020MF Analyser

Drawdown from peak (%)

0%-1%-3%-4%201620182020

Every one-year period it has lived through

WindowsWorstMedianBestPeriods that lost money
215 1.5% 9.4% 18.9% 0%

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.

MF Analyser

ICICI Prudential Dynamic Term Fund

·

Allocation

By asset

Debt96.81%
Cash & Equivalents2.87%
AIF Units0.33%

By market cap

Unclassified97.13%

Concentration

Number of stocks96
Top 5 stocks28.42%
Top 10 stocks39.45%
Top 20 stocks56.59%
Lines in the filing98
Largest holding9.27%
Largest sectorSOV 52.08%
Effective stocks36.5
Sectors held15
Cash2.87%

Effective stocks is what the concentration works out to: a fund holding 96 names but most of its money in a few behaves like a fund of 37. Cash includes repo and TREPS, which every fund parks money in overnight.

Sector split

SOV — 52.1%ICRA AA+ — 10.3%CRISIL AA+ — 7.9%CRISIL AAA — 7.1%CRISIL AA — 5.4%FITCH AA — 3.7%Other — 13.4%SOV52.1%ICRA AA+10.3%CRISIL AA+7.9%CRISIL AAA7.1%CRISIL AA5.4%FITCH AA3.7%Other13.4%
SOV52.08%
ICRA AA+10.32%
CRISIL AA+7.93%
CRISIL AAA7.13%
CRISIL AA5.41%
FITCH AA3.72%
Cash & Equivalents2.87%
CARE AA+2.04%
CARE AA-1.89%
ICRA AA-1.89%
CARE AA1.77%
ICRA AA1.28%
CRISIL A1+0.72%
CARE AA+(CE)0.44%
Financial Services0.33%
CRISIL AAA(SO)0.18%
MF Analyser

ICICI Prudential Dynamic Term Fund

· · holdings

Top 30 holdings

#CompanySectorShares held Value
₹ cr
% of fund
1 Government Securities SOV 134,416,750 1,229 9.27%
2 LIC Housing Finance Ltd. CRISIL AAA 94,000 940 7.09%
3 Government Securities SOV 73,712,000 714 5.39%
4 Government Securities SOV 49,695,510 484 3.65%
5 Vedanta Ltd. ICRA AA+ 40,000 402 3.03%
6 Government Securities SOV 31,500,000 302 2.28%
7 Muthoot Finance Ltd. CRISIL AA+ 30,000 300 2.26%
8 Cholamandalam Investment And Finance Company Ltd. ICRA AA+ 30,000 300 2.26%
9 State Government of Maharashtra SOV 30,000,000 283 2.14%
10 TREPS Unclassified — 283 2.13%
11 Vedanta Ltd. CRISIL AA+ 27,500 278 2.10%
12 State Government of Maharashtra SOV 29,159,500 276 2.08%
13 State Government of Maharashtra SOV 26,457,100 257 1.94%
14 State Government of Madhya Pradesh SOV 24,491,200 242 1.83%
15 State Government of Rajasthan SOV 24,050,600 238 1.80%
16 State Government of Maharashtra SOV 23,500,000 228 1.72%
17 State Government of Maharashtra SOV 24,000,000 227 1.71%
18 Government Securities SOV 20,000,000 202 1.52%
19 Godrej Properties Ltd. ICRA AA+ 20,000 201 1.52%
20 Oberoi Realty Ltd. CARE AA+ 20,000 200 1.51%
21 Adani Enterprises Ltd. ICRA AA- 20,000 200 1.51%
22 Tata Projects Ltd. FITCH AA 20,000 200 1.51%
23 State Government of Madhya Pradesh SOV 19,981,900 198 1.50%
24 State Government of Telangana SOV 17,622,400 178 1.34%
25 JTPM Metal Traders Ltd. CRISIL AA 16,000 172 1.30%
26 Cholamandalam Investment And Finance Company Ltd. ICRA AA+ 15,000 152 1.14%
27 Indostar Capital Finance Ltd. CARE AA- 15,000 150 1.13%
28 State Government of Uttar Pradesh SOV 15,000,000 149 1.12%
29 Truhome Finance Ltd. FITCH AA 15,000 148 1.12%
30 Cholamandalam Investment And Finance Company Ltd. ICRA AA+ 14,000 138 1.04%
MF Analyser

ICICI Prudential Dynamic Term Fund

· · where the money sits

What the manager did last month

Between the filings of 31 Mar 2026 and 31 Jul 2026. A position grows because the manager bought or because the price rose; only the share count separates them.

BoughtSoldNew positionsSold out ofPrice move of holdings
₹282 cr ₹733 cr 8 26 +1.37%
StockShares tradedShares PriceValue
₹ cr
New position
Muthoot Finance Ltd. 30,000 entered — 300
Cholamandalam Investment And Finance Company Ltd. 30,000 entered — 300
Government Securities 20,000,000 entered — 202
Truhome Finance Ltd. 15,000 entered — 148
Manappuram Finance Ltd. 12,500 entered — 125
Lodha Developers Ltd 7,500 entered — 75.3
State Government of Telangana 6,243,400 entered — 62.0
JM Financial Credit Solution Ltd. 2,500 entered — 25.1
Added to
Government Securities 21,750,000 +19.3% +2.7% 199
Government Securities 8,500,000 +20.6% +3.4% 82.7
Trimmed
Government Securities 44,500,000 -37.6% +2.1% 431
NABARD 3,000 -60.0% +2.4% 144
Government Securities 8,500,000 -21.3% +3.8% 81.5
Ess Kay Fincorp Ltd 6,000 -54.6% +0.3% 60.0
JM Financial Products Ltd. 2,500 -40.3% -33.3% 16.7
Sold out of
HDFC Bank Ltd. 5,000 exited — 234
Nirma Ltd. - 07-Apr-2027 20,000 exited — 200
Bank Of Baroda 3,000 exited — 140
Manappuram Finance Ltd. - 19-Aug-2026 10,000 exited — 100
Avanse Financial Services Ltd - 22-Oct-2027 10,000 exited — 99.9
Small Industries Development Bank Of India. - 26-Feb-2029 10,000 exited — 99.5
Union Bank Of India 2,000 exited — 94.0
HDFC Bank Ltd. 2,000 exited — 93.7

The list above is stocks and fund units. Treasury bills, repo and money-market lines roll over every month by design — they are not decisions, so they are totalled here rather than listed as activity.

A ₹10,000 monthly SIP over five years

InvestedValueGainXIRR
₹600,000 ₹755,765 ₹155,765 9.18%

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 26 Sep 2026.