ICICI Pru Credit Risk Fund (Debt, Debt Credit Risk)

8 yrs 11 monthsStarted on:03 Dec 2010
₹ 10941.92 Cras on: 18 Oct 2019
Mid Term & Long Horizon
Income Generation

Minimum Investment

  • ₹ 10000.00 for Lumpsum

Investment Objective

The scheme seeks to generate income through investing predominantly in AA and below rated corporate bonds while maintaining the optimum balance of yield, safety and liquidity.

Exit Load

Scheme Documents

Similar Funds
HDFC Credit Risk Debt Fund
Current NAV 15.94
Return (CAGR) 8.73%
Value Research
SBI Credit Risk Fund
Current NAV 30.71
Return (CAGR) 7.62%
Value Research
Axis Credit Risk Fund
Current NAV 14.6
Return (CAGR) 7.45%
Value Research
Reliance Credit Risk Fund
Current NAV 25.62
Return (CAGR) 6.77%
Value Research
Principal Credit Risk Fund
Current NAV 2804.93
Return (CAGR) 7.07%
Value Research
DSP Credit Risk Fund
Current NAV 28.21
Return (CAGR) 6.51%
Value Research
UTI Credit Risk Fund
Current NAV 15.55
Return (CAGR) 6.60%
Value Research
Aditya Birla SL Credit Risk Fund
Current NAV 14.09
Return (CAGR) 7.90%
Value Research
Baroda Pioneer Credit Risk Plan A Fund
Current NAV 14.24
Return (CAGR) 7.74%
Value Research
IDFC Credit Risk Fund
Current NAV 11.87
Return (CAGR) 6.75%
Value Research


TenureReturns (CAGR)
1 Month0.66
3 Month2.13
1 YR9.14
2 YR7.06
3 YR7.32

SIP Returns

TenureReturns (CAGR)
1 YR9.21
2 YR8.18
3 YR7.62
5 YR7.84


Company Name% Assets
ICICI Bank Ltd. 9.15%5.5
NUVOCO Vistas Corp Ltd. 30/08/2022 9.15%3.18
JSW Techno Projects Management Ltd. 06/09/20213.07
Walwhan Renewables Energy Pvt. Ltd. 31/01/20222.98
Pipeline Infrastructure (India) Pvt. Ltd. 22/03/2024 8.95%2.78
Aqua Space Developers Pvt. Ltd. 27/06/2022 11.95%2.73
Muthoot Finance Ltd. 19/06/2021 8.75%2.55
Prestige Estates Projects Ltd. 10/08/2023 10.50%2.25
Adarsh Advisory Services Pvt. Ltd. 05/07/20211.92
Ardour Developers Pvt. Ltd. 30/04/2020 11.51%1.83

Top Sectoral Holdings

Sector Name% Assets


Standard Deviation1.37%
Sharpe Ratio0.92

Manish Banthia,Akhil Kakkar

Mr. Banthia is B.Com, CA and MBA Mr. Kakkar is B.Tech (IIT Roorkee) and PGDM (Finance)
He is associated with ICICI Prudential Asset Management Company since Oct 2005, ICICI Prudential AMC - Fixed Income Investments - Aug 2007 to Oct 2009, ICICI Prudential AMC - New Product Development - Oct 2005 to Jul 2007, Aditya Birla Nuvo Ltd. - From May 2005 to Oct 2005, Aditya Birla Management Corporation Ltd. - From May 2004 to May 2005.Prior to Joining ICICI Prudential Mutual Fund he has worked with Kotak Mahindra Bank in Debt Capital Markets, SBI Capital Markets in Project Advisory & Structured Finance and Goldman Sachs Services Pvt Ltd as Analyst Developer.