- Mutual Funds
- ICICI Prudential Multi-Asset Fund Growth
Historical holding Details of Reliance Industries Ltd in ICICI Prudential Multi-Asset Fund Growth
ICICI Prudential Multi-Asset Fund Growth holds 13,410.49
K shares worth 1,609.39 Cr worth of
Reliance Industries Ltd shares as of Feb 28, 2025.
Holding Date |
% of Total Holding |
1M Change % |
Quantity |
Month Change in Shares |
Value |
Feb 28, 2025
|
3.08 %
|
5.53 %
|
13,410.49
K
|
702.24 K
|
1,609.39 Cr
|
Jan 31, 2025
|
3.05 %
|
4.63 %
|
12,708.25
K
|
562.23 K
|
1,607.72 Cr
|
Dec 31, 2024
|
2.89 %
|
6.76 %
|
12,146.02
K
|
769.0 K
|
1,476.29 Cr
|
Nov 30, 2024
|
2.88 %
|
1.79 %
|
11,377.02
K
|
200.0 K
|
1,470.14 Cr
|
Oct 31, 2024
|
2.94 %
|
7.71 %
|
11,177.02
K
|
800.0 K
|
1,488.84 Cr
|
Sep 30, 2024
|
3.03 %
|
11.12 %
|
5,188.51
K
|
519.14 K
|
1,532.25 Cr
|
Aug 31, 2024
|
2.92 %
|
-0.34 %
|
4,669.38
K
|
-16.0 K
|
1,409.8 Cr
|
Jul 31, 2024
|
3.03 %
|
9.33 %
|
4,685.38
K
|
400.0 K
|
1,410.7 Cr
|
Jun 30, 2024
|
3.05 %
|
-
|
4,285.38
K
|
-
|
1,341.67 Cr
|
May 31, 2024
|
2.98 %
|
4.07 %
|
4,285.38
K
|
167.5 K
|
1,225.96 Cr
|
Apr 30, 2024
|
3.06 %
|
4.08 %
|
4,117.88
K
|
161.5 K
|
1,208.18 Cr
|
Mar 31, 2024
|
3.19 %
|
3.36 %
|
3,956.37
K
|
128.62 K
|
1,175.72 Cr
|
Feb 29, 2024
|
3.22 %
|
13.32 %
|
3,827.76
K
|
450.0 K
|
1,118.32 Cr
|
Jan 31, 2024
|
2.94 %
|
-4.66 %
|
3,377.76
K
|
-165.0 K
|
963.76 Cr
|
Dec 31, 2023
|
2.99 %
|
0.28 %
|
3,542.76
K
|
9.77 K
|
915.79 Cr
|
Nov 30, 2023
|
3.01 %
|
2.91 %
|
3,532.99
K
|
100.0 K
|
839.95 Cr
|
Oct 31, 2023
|
3.15 %
|
5.71 %
|
3,432.99
K
|
185.49 K
|
785.43 Cr
|
Sep 30, 2023
|
3.17 %
|
8.45 %
|
3,247.51
K
|
253.0 K
|
761.54 Cr
|
Aug 31, 2023
|
3.18 %
|
5.44 %
|
2,994.51
K
|
154.5 K
|
720.78 Cr
|
Jul 31, 2023
|
3.34 %
|
-2.46 %
|
2,840.01
K
|
-71.75 K
|
723.99 Cr
|
Jun 30, 2023
|
3.72 %
|
-
|
2,911.76
K
|
-
|
742.57 Cr
|
May 31, 2023
|
3.84 %
|
-
|
2,911.76
K
|
-
|
719.17 Cr
|
Apr 30, 2023
|
3.96 %
|
3.15 %
|
2,911.76
K
|
89.0 K
|
704.79 Cr
|
Mar 31, 2023
|
3.86 %
|
11.89 %
|
2,822.75
K
|
300.0 K
|
658.0 Cr
|
Feb 28, 2023
|
3.56 %
|
8.96 %
|
2,522.75
K
|
207.5 K
|
585.92 Cr
|
Jan 31, 2023
|
3.37 %
|
47.44 %
|
2,315.25
K
|
745.0 K
|
544.98 Cr
|
Dec 31, 2022
|
2.54 %
|
-
|
1,570.25
K
|
-
|
399.97 Cr
|
Nov 30, 2022
|
2.77 %
|
-4.99 %
|
1,570.25
K
|
-82.5 K
|
428.89 Cr
|
Oct 31, 2022
|
2.83 %
|
-
|
1,652.75
K
|
-
|
421.39 Cr
|
Sep 30, 2022
|
2.76 %
|
-
|
1,652.75
K
|
-
|
392.98 Cr
|
Aug 31, 2022
|
3.06 %
|
-5.03 %
|
1,652.75
K
|
-87.5 K
|
435.99 Cr
|
Jul 31, 2022
|
3.18 %
|
107.11 %
|
1,740.25
K
|
900.0 K
|
436.71 Cr
|
Jun 30, 2022
|
1.68 %
|
63.08 %
|
840.25
K
|
325.0 K
|
218.1 Cr
|
May 31, 2022
|
1.02 %
|
10.75 %
|
515.25
K
|
50.0 K
|
135.65 Cr
|
Apr 30, 2022
|
0.97 %
|
-24.38 %
|
465.25
K
|
-150.0 K
|
129.82 Cr
|
Mar 31, 2022
|
1.24 %
|
-27.62 %
|
615.25
K
|
-234.75 K
|
162.1 Cr
|
Feb 28, 2022
|
1.58 %
|
6.25 %
|
850.0
K
|
50.0 K
|
200.56 Cr
|
Jan 31, 2022
|
1.49 %
|
-4.48 %
|
800.0
K
|
-37.5 K
|
190.93 Cr
|
Dec 31, 2021
|
1.61 %
|
21.82 %
|
837.5
K
|
150.0 K
|
198.33 Cr
|
Nov 30, 2021
|
1.35 %
|
57.14 %
|
687.5
K
|
250.0 K
|
165.37 Cr
|
Oct 31, 2021
|
0.89 %
|
-
|
437.5
K
|
-
|
110.96 Cr
|
Sep 30, 2021
|
0.89 %
|
-32.69 %
|
437.5
K
|
-212.5 K
|
110.22 Cr
|
Aug 31, 2021
|
1.23 %
|
-35.48 %
|
650.0
K
|
-357.5 K
|
146.78 Cr
|
Jul 31, 2021
|
1.75 %
|
-
|
1,007.5
K
|
-
|
205.06 Cr
|
Jun 30, 2021
|
1.82 %
|
-7.99 %
|
1,007.5
K
|
-87.5 K
|
212.65 Cr
|
May 31, 2021
|
2.02 %
|
110.58 %
|
1,095.0
K
|
575.0 K
|
236.55 Cr
|
Apr 30, 2021
|
0.93 %
|
-0.95 %
|
520.0
K
|
-5.0 K
|
103.71 Cr
|
Mar 31, 2021
|
0.95 %
|
-
|
525.0
K
|
-
|
105.16 Cr
|
Feb 28, 2021
|
0.97 %
|
31.25 %
|
525.0
K
|
125.0 K
|
109.5 Cr
|
Jan 31, 2021
|
0.7 %
|
300.0 %
|
400.0
K
|
300.0 K
|
73.68 Cr
|
Dec 31, 2020
|
0.2 %
|
-
|
100.0
K
|
100.0 K
|
19.85 Cr
|
May 31, 2020
|
-
|
-
|
-
|
-200.0 K
|
-
|
Apr 30, 2020
|
0.29 %
|
-
|
200.0
K
|
200.0 K
|
29.32 Cr
|