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Regional Banks

ICICI Bank

1438-0.91%

52W High

₹1479.90

52W Low

₹1187.55

About

ICICI Bank Limited is a diversified financial services company offering a range of banking and financial services to corporate and retail customers through a variety of delivery channels. The Company offers life and general insurance, asset management, securities broking and private equity products and services through specialized subsidiaries.

Key Points

Its segments include Retail Banking, Wholesale Banking, Treasury, Other Banking, Life Insurance, General Insurance, and Others. Its commercial banking operations for retail customers consist of retail lending, deposit taking, distribution of insurance and investment products and other fee-based products and services.

Interactive Chart

ICICI Bank — Price Chart

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ICICI Bank

1438 0.91%
📄 BSE: 532174📄 NSE: ICICIBANK
Market Cap1031137.60 Cr.
Current Price1438
High / Low1479.90 / 1187.55
Stock P/E17.54
Book Value
Dividend Yield0.84 %
ROCE %
ROE %
Face Value

Fundamentals

Key Ratios

mgmt Effectiveness

Return on average equity - 5 year average

17.01

Revenue/employee - most recent fiscal year

17621210.00

Return on average assets - most recent fiscal year

2.08

Return on average assets - trailing 12 month

2.10

Return on average assets - 5 year average

1.98

Net Income/employee - most recent fiscal year

4555453.00

Return on average equity - trailing 12 month

15.80

Return on average equity - most recent fiscal year

16.01

margins

Operating margin - trailing 12 month

34.56

Operating margin - 1st historical fiscal year

34.54

Operating Margin - 5 year average

34.52

Net Profit Margin % - 1st historical fiscal year

25.85

Net Profit Margin % - trailing 12 month

26.07

Net Profit Margin - 5 year average

25.80

Pretax Margin - 5 year average

34.52

Pretax margin - 1st historical fiscal year

34.54

Pretax margin - trailing 12 month

34.56

Free Operating Cash Flow/Revenue, 5 Year Average

42.74

financialstrength

Total debt/total equity - most recent quarter

0.59

Free Cash Flow - most recent fiscal year

557422.70

LT debt/equity - most recent fiscal year

0.54

Payout ratio - trailing 12 month

15.32

LT debt/equity - most recent quarter

0.59

Total debt/total equity - most recent fiscal year

0.63

Payout ratio - most recent fiscal year

15.85

valuation

P/E excluding extraordinary items, most recent fiscal year

19.02

Current Dividend Yield - Common Stock Primary Issue, LTM

0.84

Price to Book - most recent fiscal year

2.81

P/E Basic excluding extraordinary items - TTM

17.54

P/E including extraordinary items - TTM

18.39

P/E excluding extraordinary items low, trailing 12 months

16.12

Price to Tangible Book - most fiscal year

2.90

Dividend Yield - 5 Year Average

0.88

Price to sales - most recent fiscal year

4.58

Net Debt, LFI

298244.40

Price to Tangible Book - most recent quarter

2.76

Price to Book - most recent quarter

2.68

Dividend Yield - indicated annual dividend divided by closing price

0.84

Peg Ratio

1.15

is ForCasted

true

Price to Free Cash Flow per Share - most recent fiscal year

18.32

P/E Normalized, most recent fiscal year

19.26

P/E excluding extraordinary items high, trailing 12 months

23.50

P/E excluding extraordinary items, most recent fiscal year quarter

18.39

Price to sales - trailing 12 month

4.47

Net Debt, LFY

157655.20

income Statement

Earnings before taxes - most recent fiscal year

770573.30

Revenue - trailing 12 month

1983794.00

Net Income available to common - most recent fiscal year

542077.00

Net Income available to common - trailing 12 months

560901.60

Earnings per Share, Normalized, Excluding Extraordinary Items, Avg. Diluted Shares Outstanding, TTM

77.38

Revenue - most recent fiscal year

1952185.00

Net Income Available to Common, Normalized - most recent fiscal year

535381.60

Earnings before taxes - trailing 12 month

788699.80

Earnings before taxes Normalized - most recent fiscal year

761627.40

EBITD - most recent fiscal year

920259.80

growth

EPS Change %, TTM over TTM

5.14

Revenue growth rate, 5 year

16.97

EPS growth rate, 5 year

22.72

Revenue Change % - most recent quarter 1 year ago

6.44

Growth rate% - dividend, 3 year

14.47

Growth rate% - EPS, 3 year

16.01

Revenue/share (5 yr growth)

12.16

Free Operating Cash Flow, 5 Year CAGR

-16.38

Tangible Book Value, Total Equity, 5 Year CAGR

17.49

Capital Spending growth rate, 5 year

17.18

Revenue Change %, TTM over TTM

3.96

Growth rate% - Revenue, 3 year

17.26

Book value per share growth rate, 5 year

17.35

EPS Change % - most recent quarter 1 year ago

13.79

Net Profit Margin growth rate, 5 year

8.54

Earnings Before Interest, Taxes, Depreciation & Amortization, 5 Year CAGR

18.25

Total Debt, 5 Year CAGR

7.98

persharedata

Dividend Per Share - 5 year average

9.20

Cash Flow per share - most recent fiscal year

83.89

Book value (tangible) per share - most recent quarter

515.75

Cash per share - most recent quarter

273.91

EPS including extraordinary items - trailing 12 month

77.38

EPS including extraordinary items - most recent fiscal year

74.80

Revenue/share - trailing 12 month

314.87

EPS excluding extraordinary items - trailing 12 month

77.38

EPS Basic excluding extraordinary items - most recent fiscal year

75.89

EPS Basic excluding extraordinary items - trailing 12 month

78.41

Book value per share - most recent fiscal year

507.06

Book value per share - most recent quarter

530.46

Dividend per share - most recent fiscal year

12.00

Revenue/share - most recent fiscal year

307.84

EPS Normalized - most recent fiscal year

73.88

Book value (tangible) per share - most recent fiscal year

492.33

Dividends per share - trailing 12 month

12.00

EPS excluding extraordinary items - most recent fiscal year

74.80

Cash per share - most recent fiscal year

299.40

priceand Volume

Market Cap

1031137.60

52 week Low Date

2026-04-02T00:00:00

Price - 1 Day % Change

-1.40

Relative (S&P500) price percent change - 13 week

9.60

Avg trading volume last 10 days

7.49

Price - 13 week price percent change

13.24

Price - 52 week price percent change

1.69

Avg Trading Volume Last 3 months

268.15

Price - 5 Day % Change

0.20

Price % Change Month To Date

-0.88

Relative (S&P500) price percent change - 04 week

0.19

52 week High Date

2026-07-20T00:00:00

Price - 26 week price percent change

3.18

PDATE

2026-08-28T00:00:00

Price - YTD price percent change

5.95

Relative (S&P500) price percent change - 52 week

5.40

NPRICE

1422.80

Relative (S&P500) price percent change - 26 week

8.56

52 week Low

1187.60

52 week High

1480.00

Beta

0.99

Relative (S&P500) price percent change - Year to Date

16.86

Peer comparison

Sector: Financials
S.No.NameCMP Rs.P/EMar Cap Rs.Cr.Div Yld %ROE %
1.HDFC Bank712.0516.521097348.861.5913.72
2.State Bank of India1033.411.78953892.021.6615.38
3.Kotak Mahindra Bank424.720.21422464.830.1711.39

Financial Performance

Quarterly Results

MetricMar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
Net Income After Taxes 11972.7312405.9413860.8013828.6114323.3614393.8014256.4013411.3315611.8616209.74
Income Availableto Com Incl Extra Ord 11671.5211695.8412947.7712883.3713502.2213557.6013357.0612537.9814755.0615440.06
Net Interest Income 22182.9923460.0324100.4824403.7125339.5925989.9026163.5226489.5227546.9429177.13
Diluted Weighted Average Shares 711.48716.66717.33717.74714.73724.62725.14725.16723.86725.23
Non- Interest Income Bank 24574.9822688.4126616.7727589.4431360.8525496.0727965.6828418.2435019.9127448.37
Diluted Net Income 11671.5211695.8412947.7712883.3713502.2213557.6013357.0612537.9814755.0615440.06
DPS- Common Stock Primary Issue 10.000.000.000.0011.000.000.000.0012.000.00
Provisionfor Income Taxes 4180.914355.454635.664654.414789.315100.684808.184342.735132.345097.39
Net Interest Inc After Loan Loss Prov 21485.0822144.1422718.6023135.8524399.4624167.5725254.2123843.0027286.2627879.93
Equity In Affiliates 227.3256.8745.1918.2830.3262.5361.7569.8068.7866.48
Net Income Before Extra Items 11671.5211695.8412947.7712883.3713502.2213557.6013357.0612537.9814755.0615440.06
Net Income 11671.5211695.8412947.7712883.3713502.2213557.6013357.0612537.9814755.0615440.06
Total Interest Expense 20423.7321121.6222225.3022633.4123047.3223090.0622017.3921874.3222046.8123063.72
period Length 3333333333
Loan Loss Provision 697.911315.891381.881267.86940.131822.33909.312646.52260.681297.20
Non- Interest Expense Bank -29906.42-28071.16-30838.91-32242.27-36647.64-30169.16-34155.31-34507.18-41561.97-34021.17
Income Availableto Com Excl Extra Ord 11671.5211695.8412947.7712883.3713502.2213557.6013357.0612537.9814755.0615440.06
Interest Income Bank 42606.7344581.6546325.7847037.1248386.9149079.9648180.9148363.8449593.7552240.85
Net Income Before Taxes 16153.6416761.3918496.4618483.0219112.6719494.4819064.5817754.0620744.2021307.13
Diluted Normalized EPS 16.4016.3218.0517.9518.8918.7118.4217.2920.3821.29
Minority Interest -528.53-766.97-958.22-963.52-851.47-898.73-961.09-943.15-925.58-836.16
Diluted EPS Excluding Extra Ord Items 16.4016.3218.0517.9518.8918.7118.4217.2920.3821.29

Annual Financials

Profit & Loss

MetricMar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Net Income After Taxes 12438.2020363.9725783.8334463.0345006.7454418.7157673.39
Income Availableto Com Incl Extra Ord 9566.3118384.3225110.1034036.6444256.3751029.2054207.70
Net Interest Income 40170.2546503.5854240.1970523.4285407.7697303.81106189.88
Diluted Weighted Average Shares 656.68684.19707.59710.50713.22716.73724.69
Non- Interest Income Bank 64950.3372173.8162129.4565111.9976521.80108255.47116899.90
Diluted Net Income 9566.3118384.3225110.1034036.6444256.3751029.2054207.70
DPS- Common Stock Primary Issue 0.002.005.008.0010.0011.0012.00
Provisionfor Income Taxes 6150.415664.378457.4411793.4415427.6218434.8319383.93
Net Interest Inc After Loan Loss Prov 29694.8334681.1946854.7864975.2082400.3193198.1699945.08
period Type MonthsMonthsMonthsMonthsMonthsMonthsMonths
Net Income Before Extra Items 10779.0418384.3225110.1034036.6444256.3751029.2054207.70
Total Extraordinary Items -1212.73
Net Income 9566.3118384.3225110.1034036.6444256.3751029.2054207.70
Total Interest Expense 44665.5242659.0941166.6750543.3974108.1689027.6589028.58
period Length 12121212121212
Loan Loss Provision 10475.4211822.397385.425548.223007.454105.656244.80
Non- Interest Expense Bank -76056.55-80826.67-74742.96-83830.72-98487.75-128600.09-139787.66
Income Availableto Com Excl Extra Ord 10779.0418384.3225110.1034036.6444256.3751029.2054207.70
Interest Income Bank 84835.7789162.6695406.87121066.81159515.93186331.46195218.46
Net Income Before Taxes 18588.6126028.3434241.2746256.4760434.3672853.5477057.32
Diluted Normalized EPS 21.0432.0937.1749.3162.7771.9973.88
Minority Interest -1659.16-1979.65-1428.16-1424.67-1824.14-3540.18-3728.55
Diluted EPS Excluding Extra Ord Items 16.4126.8735.4947.9162.0571.2074.80
Equity In Affiliates 754.43998.291073.77150.66262.86

Assets & Liabilities

Balance Sheet

MetricMar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Net Loans 705042.58790782.54919548.311082288.851257698.021417612.571643021.03
Total Liabilities Shareholders' Equity 1377292.231573812.241752637.381958490.502364063.032642241.412914497.97
Accumulated Depreciation Total -9307.24-10256.22-10496.74-11355.54-13751.75-15397.75-17540.13
Other Liabilities Total 189066.55250647.55275163.86296186.21362392.90377865.88405259.59
Accrued Expenses 0.00
Long Term Debt 210614.56139681.15152567.38179259.52190131.92196261.31195745.99
Common Stock Total 1294.551383.201389.751396.561404.471424.391432.02
Other Equity Total 2013.991369.991243.141559.451982.892131.323437.30
Total Assets 1377292.231573812.241752637.381958490.502364063.032642241.412914497.97
Additional Paid- In Capital 33590.1548969.6949764.7250723.1651943.8660613.4962304.27
Total Equity 122960.06157587.50182052.49214497.79256143.83313905.91363060.42
Long Term Investments 697.54672.592004.062004.061510.232265.002649.05
Retained Earnings( Accumulated Deficit) 81003.32101053.29124124.32154825.59193127.36238240.03284802.45
Total Common Shares Outstanding 644.62691.60694.88698.28702.23712.19716.01
Total Short Term Borrowings 8951.4417066.8722103.9223405.9930115.3931592.3434395.97
Property/ Plant/ Equipment Total- Gross 19715.8921065.4821102.1522324.5526992.0331210.1834960.47
Tangible Book Valueper Share Common Eq 190.55227.68261.81307.03361.23428.88492.33
Other Earning Assets Total 524164.94583690.80634721.91666063.84862907.70912204.49935214.12
Goodwill Net 126.01123.98123.52101.332474.168459.4310550.05
Total Liabilities 1254332.181416224.741570584.901743992.712107919.192328335.512551437.56
Total Debt 219566.00156748.02174671.29202665.51220247.31227853.65230141.96
Property/ Plant/ Equipment Total- Net 10408.6610809.2610605.4110969.0013240.2815812.4217420.34
Minority Interest 6794.779588.345980.896686.7513888.4214836.7416510.96
ESOP Debt Guarantee 3.493.10266.41760.891405.322069.842682.07
Cash Duefrom Banks 50788.72103590.63118245.42115007.28135860.49199769.65214376.43
Accounts Payable 38120.3939300.8223403.0527622.0767810.6266141.8469504.93
Total Long Term Debt 210614.56139681.15152567.38179259.52190131.92196261.31195745.99
Other Assets Total 77256.7674807.4259440.2674436.6884060.5781276.8587004.81
Other Long Term Assets Total 8807.039335.027948.487619.446311.584841.004262.13
Unrealized Gain( Loss) 5054.564808.245264.135232.136279.959426.848402.32
Total Deposits 800784.46959940.021091365.791210832.151443579.951641637.401830020.12
period Length 0.000.000.000.000.000.000.00

Cash Movement

Cash Flow

MetricMar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Issuance( Retirement)of Debt Net 3329.24-70126.8018038.2627328.0918192.2411192.981831.96
Net Changein Cash 40462.0319717.6135555.45-46669.4926312.4151254.5650957.26
Cash Taxes Paid 2391.893833.594981.7710875.4313343.6018116.4616547.95
Net Income/ Starting Line 16929.4524048.6833567.5445830.0859684.0069464.0273591.64
Total Cash Dividends Paid -886.380.00-1385.23-3479.45-5598.60-7041.27-7853.15
Changesin Working Capital 54835.79109187.9418354.50-60329.5892026.0950028.53-10327.27
Cashfrom Operating Activities 79564.75138015.3057552.74-3771.19158055.55122805.2667325.42
Cashfrom Financing Activities 2992.18-54666.7717451.0024790.7213764.515589.23-4660.55
Issuance( Retirement)of Stock Net 549.3215460.03797.98942.071170.871437.521360.65
Depreciation/ Depletion 1369.641471.371479.461645.591995.892690.383122.65
Other Investing Cash Flow Items Total -40434.98-61298.71-37461.47-65537.64-142252.55-72518.36-9283.59
Capital Expenditures -1873.45-1688.21-1859.97-2467.68-3678.55-4770.01-3729.99
period Type MonthsMonthsMonthsMonthsMonthsMonthsMonths
Foreign Exchange Effects 213.52-644.01-126.84316.31423.44148.431305.98
Non- Cash Items 6429.873307.314151.249082.724349.57622.33938.40
period Length 12121212121212
Cashfrom Investing Activities -42308.43-62986.91-39321.44-68005.32-145931.09-77288.36-13013.59

Ownership

Shareholding Pattern

Promoter

No data available

FII

2025-09-302025-12-312026-03-312026-06-30
45.55%43.87%34.48%33.79%

MF

2025-09-302025-12-312026-03-312026-06-30
30.76%32.08%27.83%29.60%

Other

2025-09-302025-12-312026-03-312026-06-30
23.69%24.05%37.69%36.61%