NAV History
| Date | NAV (₹) | Change |
|---|---|---|
| 14-11-2025 | 10.6682 | +0.0003 (+0.00%) |
| 13-11-2025 | 10.6679 | +0.0036 (+0.03%) |
| 12-11-2025 | 10.6643 | +0.0028 (+0.03%) |
| 11-11-2025 | 10.6615 | +0.0009 (+0.01%) |
| 10-11-2025 | 10.6606 | +0.0057 (+0.05%) |
| 07-11-2025 | 10.6549 | +0.0016 (+0.02%) |
| 06-11-2025 | 10.6533 | +0.0034 (+0.03%) |
| 04-11-2025 | 10.6499 | +0.0027 (+0.03%) |
| 03-11-2025 | 10.6472 | +0.0064 (+0.06%) |
| 31-10-2025 | 10.6408 | +0.0015 (+0.01%) |
| 30-10-2025 | 10.6393 | +0.0019 (+0.02%) |
| 29-10-2025 | 10.6374 | +0.0008 (+0.01%) |
| 28-10-2025 | 10.6366 | +0.0017 (+0.02%) |
| 27-10-2025 | 10.6349 | +0.0061 (+0.06%) |
| 24-10-2025 | 10.6288 | +0.0010 (+0.01%) |
| 23-10-2025 | 10.6278 | +0.0048 (+0.05%) |
| 20-10-2025 | 10.6230 | +0.0048 (+0.05%) |
| 17-10-2025 | 10.6182 | +0.0022 (+0.02%) |
| 16-10-2025 | 10.6160 | +0.0020 (+0.02%) |
| 15-10-2025 | 10.6140 | +0.0010 (+0.01%) |
| 14-10-2025 | 10.6130 | +0.0012 (+0.01%) |
| 13-10-2025 | 10.6118 | +0.0036 (+0.03%) |
| 10-10-2025 | 10.6082 | +0.0014 (+0.01%) |
| 09-10-2025 | 10.6068 | +0.0025 (+0.02%) |
| 08-10-2025 | 10.6043 | +0.0015 (+0.01%) |
| 07-10-2025 | 10.6028 | +0.0022 (+0.02%) |
| 06-10-2025 | 10.6006 | +0.0064 (+0.06%) |
| 03-10-2025 | 10.5942 | +0.0046 (+0.04%) |
| 01-10-2025 | 10.5896 | +0.0069 (+0.07%) |
| 30-09-2025 | 10.5827 | +0.0099 (+0.09%) |
| 26-09-2025 | 10.5728 | +0.0024 (+0.02%) |
| 25-09-2025 | 10.5704 | +0.0015 (+0.01%) |
| 24-09-2025 | 10.5689 | +0.0023 (+0.02%) |
| 23-09-2025 | 10.5666 | +0.0017 (+0.02%) |
| 22-09-2025 | 10.5649 | +0.0049 (+0.05%) |
| 19-09-2025 | 10.5600 | +0.0018 (+0.02%) |
| 18-09-2025 | 10.5582 | +0.0028 (+0.03%) |
| 17-09-2025 | 10.5554 | +0.0032 (+0.03%) |
| 16-09-2025 | 10.5522 | +0.0030 (+0.03%) |
| 15-09-2025 | 10.5492 | +0.0026 (+0.02%) |
| 12-09-2025 | 10.5466 | +0.0014 (+0.01%) |
| 11-09-2025 | 10.5452 | +0.0012 (+0.01%) |
| 10-09-2025 | 10.5440 | +0.0009 (+0.01%) |
| 09-09-2025 | 10.5431 | +0.0069 (+0.07%) |
| 05-09-2025 | 10.5362 | +0.0016 (+0.02%) |
| 04-09-2025 | 10.5346 | +0.0040 (+0.04%) |
| 03-09-2025 | 10.5306 | +0.0018 (+0.02%) |
| 02-09-2025 | 10.5288 | -0.0005 (0.00%) |
| 01-09-2025 | 10.5293 | +0.0070 (+0.07%) |
| 29-08-2025 | 10.5223 | -0.0007 (-0.01%) |
| 28-08-2025 | 10.5230 | +0.0068 (+0.06%) |
| 26-08-2025 | 10.5162 | -0.0036 (-0.03%) |
| 25-08-2025 | 10.5198 | +0.0042 (+0.04%) |
| 22-08-2025 | 10.5156 | +0.0012 (+0.01%) |
| 21-08-2025 | 10.5144 | +0.0019 (+0.02%) |
| 20-08-2025 | 10.5125 | +0.0038 (+0.04%) |
| 19-08-2025 | 10.5087 | -0.0007 (-0.01%) |
| 18-08-2025 | 10.5094 | +0.0056 (+0.05%) |
| 14-08-2025 | 10.5038 | +0.0063 (+0.06%) |
| 13-08-2025 | 10.4975 | -0.0016 (-0.02%) |
ICICI Prudential CRISIL-IBX AAA Bond Financial Services Index -Dec 2026 Fund- Direct Plan - Growth is a mutual fund scheme offered by ICICI Prudential Mutual Fund. It is classified under the Other Scheme - Index Funds category by SEBI. As a Direct Growth plan, it has a lower expense ratio than its Regular counterpart, with all gains reinvested for compounding. The latest NAV is ₹10.66820 as on 14-11-2025. Index Funds passively track a benchmark index like NIFTY 50, SENSEX, or NIFTY Next 50 by replicating its composition. They have very low expense ratios (0.1-0.5%) compared to actively managed funds (1-2.5%). Index funds are ideal for investors who believe in efficient market hypothesis and prefer low-cost investing. Past performance does not guarantee future results. Please consult a SEBI-registered financial advisor before investing.