loader2
Login Open ICICI 3-in-1 Account

Category

Scheme Type

OPEN

Exit Load (%)

Min Inv

500.00

Incremental Inv

100.00

Open Date

Dec 08, 2025

Close Date

Dec 22, 2025

Nav Calculation

DAILY

Sub-category

Equity - Diversified

Risk Level

Very High

Fund Manager

Sanjay Doshi

Repurchase/Redemption

Fund Objective

The primary investment objective of the scheme is to seek to generate capital appreciation & provide long-term growth opportunities through equity and equity related instruments by investing in a diversified portfolio of large cap, mid cap and small cap securities and the secondary objective is to generate consistent returns by investing in debt and money market securities. "There is no assurance that the investment objective of the Scheme will be achieved."

Notes

The Scheme would adopt top-down and bottom-up approach of investing and will aim at being diversified across various industries and/or sectors and/or market capitalization. The Scheme will be actively managed. SO. 27. The investment emphasis of the scheme would be on identifying companies with sound corporate managements and prospects of good future growth. Essentially, the focus would be on stocks driven by long-term fundamentals. However, short term opportunities would also be seized, provided underlying values supports these opportunities. A portion of the scheme will also be invested in IPOs, emerging sectors and other primary market offerings that meet our investment criteria. The scheme would invest a substantial portion of its investible assets (65% - 100%) in equity and equity related instruments. Pending investment of the scheme may be invested in debt & money market instruments and other liquid instruments or both. The scheme may have prudent exposure to Futures & Options (F&O) to capture opportunities arising out of market imperfection and to hedge the portfolio, whenever necessary. Stock identification process would include company and business analysis, industry analysis, future plans, projections, and valuations. The fund management team may also consider technical analysis as part of stock identification process. Based on analysis of various financial and non-financial parameters, the stocks will finally be shortlisted for portfolio construction process. The Fund Manager of the scheme would also take cues from the global macroeconomic trends, Government policy and monetary policy actions to decide on the asset allocation. The allocations will be within the limits defined in the asset allocation table. Apart from in-house research, external research is used as an important source of information. Various magazines, journals, newspapers and databases also help in the research process.