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ICICI Prudential Quarterly Interval Plan III revises asset allocation


Effective October 18, 2010, ICICI Prudential Mutual Fund has revised the asset allocation pattern under ICICI Prudential Quarterly Interval Plan III.

The revised asset allocation pattern will invest 30% to 100% under money market instrument and upto 70% in government securities issued by central or state government and other fixed income/debt/securities including but not limited to corporate debt and securitised debt.