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GFS » Mutual Fund » Overnight Fund » ICICI Prudential Overnight Fund
Published NAVNAV published by the AMC, sourced from AMFI · charted from 17 Aug 2022, when the scheme re-based its units
114612641382149917 Aug 202220 Aug 2026
Change+27.1%change over the window — not annualised
Low / high₹1,164.89 / ₹1,480.5017 Aug 2022 · 20 Aug 2026
Last print+0.01%19 Aug 2026 → 20 Aug 2026
Prints1,162published NAVs, AMFI · axis does not start at zero

Returns

NAV and returns as at 20 Aug 2026
Lumpsum · point to point
1W +0.1%
1M +0.42%
3M +1.29%
6M +2.58%
YTD +3.28%
1Y +5.32%
2Y CAGR +5.77%
3Y CAGR +6.11%
5Y CAGR
10Y CAGR
SIP · XIRR on monthly instalments
6M SIP +5.26%
1Y SIP +5.27%
2Y SIP +5.49%
3Y SIP +5.77%
5Y SIP +52.41%
10Y SIP
Full history SIP +49.91%
Periods up to one year are absolute; longer periods are annualised (CAGR). SIP figures are the XIRR of a fixed monthly instalment over the same window. — means this scheme’s NAV history does not cover that period — across all 1648 schemes, 68% have a 3-year figure, 48.8% a 5-year one, and 32.7% a 10-year one.

Returns vs category

1Y
This fund
+5.32%
Overnight Fund avg
+5.28%
3Y
This fund
+6.11%
Overnight Fund avg
+6.1%
Average is the mean of every Overnight Fund scheme in this dataset that discloses the period — 36 schemes at 1Y, 32 at 3Y, 26 at 5Y. Returns beyond one year are annualised.

Top holdings

as at 31 Jul 2026 · source: AMC monthly portfolio disclosure
91 Days Treasury BillsSOV 1.44%
182 Days Treasury BillsSOV 1.29%
91 Days Treasury BillsSOV 0.84%
182 Days Treasury BillsSOV 0.76%
182 Days Treasury BillsSOV 0.57%
91 Days Treasury BillsSOV 0.23%
364 Days Treasury BillsSOV 0.11%
91 Days Treasury BillsSOV 0.11%
Top 10 5.35%Securities 8Securities total 5.35%Cash & equivalents 94.64%
The ten largest securities by weight, out of 8 disclosed. Weight is percent of net assets as filed. Cash-equivalent lines (TREPS, reverse repo, net receivables, margin) and derivative legs are counted in the chips above but not ranked among securities, because a short futures leg is filed as a negative weight and sorting it alongside a shareholding describes no portfolio. A portfolio is a point-in-time filing and changes every month.

Risk

Volatility · annualised · 3Y
0.04%
Max drawdown · 3Y
0%
Sharpe ratio
SEBI riskometer
Volatility is the annualised standard deviation of daily NAV moves over the last three years; max drawdown is the deepest peak-to-trough fall in that same window. Where a scheme has less than three years of NAV, the window is what it actually has and is labelled as such — never as three years. Sharpe is as disclosed in the scheme key-ratio feed.
Beta and alpha are not shown. No benchmark series in the source.

Cost

Expense ratio
Category average
Exit load
52W high / low₹1480.4983 / ₹1405.7323
The expense ratio for this scheme is not disclosed in this dataset.
Expense ratio and category average are as disclosed against this scheme in the source; 78.5% of schemes here carry one. The ratio is charged inside the NAV, so every return on this page is already net of it.

Scheme facts

SEBI sub-category Overnight Fund
Plan / option
Benchmark
Fund manager
Launched 14 Nov 2018
NAV history here 7.7y
ISIN INF109KC11G1
AMFI scheme code 145536
SEBI riskometer
Exit load
Lock-in
Minimum lumpsum ₹100
Exit load is not disclosed for this scheme in this dataset.
Not shown on this page, and why
Star ratingGFS is an AMFI-registered distributor (ARN-169480), not a SEBI-registered investment adviser. It does not rate schemes.
Scheme AUMScheme-level AUM is not in the source; only AMC-total AUM, which is a different number.
Minimum SIPNot present in the source.
Beta and alphaNo benchmark series in the source.

General SIP calculator

A general SIP illustration: your monthly amount grown at the annual rate you set below, compounded monthly. The rate is your assumption — it is not this scheme’s past return, not a forecast of it, and mutual fund returns are not assured.
Monthly SIP₹10,000
Tenure10 years
Assumed annual return12%
Invested₹12,00,000
Est. gain₹11,23,391
Total value₹23,23,391