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Declaration of NAV (SCRIPCODE: 541262)

India, Jan. 21 -- ICICI Prudential Fixed Maturity Plan - Series 82 - 1119 days Plan X - Half Yearly Dividend Option has informed BSE about the NAV of the Scheme dated January 18, 2019 and is placed at... Read More


Declaration of NAV (SCRIPCODE: 541263)

India, Jan. 21 -- ICICI Prudential Fixed Maturity Plan - Series 82 - 1119 days Plan X - Direct Cumulative Option has informed BSE about the NAV of the Scheme dated January 18, 2019 and is placed at Co... Read More


Declaration of NAV (SCRIPCODE: 541264)

India, Jan. 21 -- ICICI Prudential Fixed Maturity Plan - Series 82 - 1119 days Plan X - Direct Plan Quarterly Dividend has informed BSE about the NAV of the Scheme dated January 18, 2019 and is placed... Read More


Declaration of NAV (SCRIPCODE: 541288)

India, Jan. 21 -- ICICI Prudential Fixed Maturity Plan Series 82 - 1141 Days - Plan Y- Cumulative has informed BSE about the NAV of the Scheme dated January 18, 2019 and is placed at Corporate Announc... Read More


Declaration of NAV (SCRIPCODE: 541289)

India, Jan. 21 -- ICICI Prudential Fixed Maturity Plan Series 82 - 1141 Days - Plan Y- Quarterly Dividend has informed BSE about the NAV of the Scheme dated January 18, 2019 and is placed at Corporate... Read More


Declaration of NAV (SCRIPCODE: 541290)

India, Jan. 21 -- ICICI Prudential Fixed Maturity Plan Series 82 - 1141 Days - Plan Y- Half Yearly Dividend Option has informed BSE about the NAV of the Scheme dated January 18, 2019 and is placed at ... Read More


Declaration of NAV (SCRIPCODE: 541291)

India, Jan. 21 -- ICICI Prudential Fixed Maturity Plan Series 82 - 1141 Days - Plan Y- Direct Plan Cumulative Option has informed BSE about the NAV of the Scheme dated January 18, 2019 and is placed a... Read More


Declaration of NAV (SCRIPCODE: 541292)

India, Jan. 21 -- ICICI Prudential Fixed Maturity Plan Series 82 - 1141 Days - Plan Y- Direct Plan Half Yearly Divid has informed BSE about the NAV of the Scheme dated January 18, 2019 and is placed a... Read More


Declaration of NAV (SCRIPCODE: 541309)

India, Jan. 21 -- ICICI Prudential Bharat Consumption Fund - Series 2 - Cumulative Option has informed BSE about the NAV of the Scheme dated January 18, 2019 and is placed at Corporate Announcement on... Read More


Declaration of NAV (SCRIPCODE: 541310)

India, Jan. 21 -- ICICI Prudential Bharat Consumption Fund - Series 2 - Dividend Option has informed BSE about the NAV of the Scheme dated January 18, 2019 and is placed at Corporate Announcement on B... Read More