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IBN

ICICI Bank Limited

Price Chart
Latest Quote

$29.76

+0.19 (+0.64%)
Current Price
Previous Close $29.57
Open $29.83
Day High $30.03
Day Low $29.57
Volume 6,497,807
Fetched: 2026-07-18T02:56:08
Stock Information
Note: Financial values converted from INR to USD
Quarterly Dividend / Yield $0.25 / 0.85%
Shares Outstanding 3.59B
Quarterly Dividend Yield 0.85%
Quarterly Dividend $0.25
Total Debt $22.86B
Cash Equivalents $27.51B
Revenue $22.57B
Net Income $5.63B
Sector Financial Services
Industry Banks - Regional
Market Cap $106.06B
P/E Ratio 18.72
EPS (TTM) $1.58
Exchange NYQ
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Recent Price History
Date Close Volume
2026-07-17 $29.76 6,982,300
2026-07-16 $29.57 7,285,000
2026-07-15 $29.40 5,562,900
2026-07-14 $29.00 4,250,600
2026-07-13 $29.26 4,440,000
2026-07-10 $29.00 11,627,000
2026-07-09 $29.12 9,043,300
2026-07-08 $28.85 8,995,200
2026-07-07 $29.69 8,201,200
2026-07-06 $30.08 13,622,600
2026-07-02 $29.49 5,110,000
2026-07-01 $28.97 12,181,400
2026-06-30 $29.03 5,678,100
2026-06-29 $29.36 4,689,200
2026-06-26 $29.55 5,475,100
2026-06-25 $29.14 7,133,700
2026-06-24 $29.00 7,533,000
2026-06-23 $28.32 7,367,800
2026-06-22 $28.53 10,880,900
2026-06-18 $27.94 7,105,400
About ICICI Bank Limited

ICICI Bank Limited, together with its subsidiaries, engages in the provision of various banking and financial services to retail and corporate customers in India and internationally. The company operates through Retail Banking, Wholesale Banking, Treasury, Other Banking, Life Insurance, General Insurance, and Others segments. It offers savings, salary, pension, current, trade, escrow, foreign currency, and vostro accounts, as well as time, fixed, recurring, and security deposits. The company also provides home, car, two-wheeler, personal, education, gold, and commercial business loans, as well as loans against securities, shares, mutual funds, and property; working capital finance, term loans, collateral free loans, loans without financials, finance for importers and exporters, and overdraft facilities, as well as loans for new entities and card swipes; and credit, debit, prepaid, travel, forex, and corporate cards. In addition, it offers pockets wallet; fixed income products; investment products, such as mutual funds, gold monetization schemes, initial public offerings, and other online investment services; and agri and rural business, farmer finance, tractor loans, and micro banking services. Further, the company provides portfolio management, trade, foreign exchange, locker, private and NRI banking, and cash management services; family wealth and demat accounts; commercial and investment banking, capital market, custodial, and institutional banking services; general, life health, personal accident, fire, travel, and motor insurance products; and internet, mobile, and phone banking services. Additionally, it offers securities investment, broking, trading, and underwriting services; and merchant banking, trusteeship, housing finance, pension fund management, asset management, investment advisory, points of presence, and private equity/venture capital fund management services. The company was founded in 1955 and is headquartered in Mumbai, India.

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Income Statement (Annual)
Metric 2026-03-31 2025-03-31 2024-03-31 2023-03-31
Revenue
Total Revenue $23,433,801,133 $21,592,363,051 $16,111,551,026 $13,680,510,889
Operating Revenue $23,433,801,133 $21,592,363,051 $16,111,551,026 $13,680,510,889
Expenses
Interest Expense $9,351,741,881 $9,351,644,192 $7,784,471,108 $5,309,179,563
General And Administrative Expense $11,249,473,031 $10,234,886,866 $2,371,470,723 $1,923,468,903
Other Non Interest Expense $3,497,756,409 $3,189,481,189 $5,994,298,607 $4,943,609,814
Selling And Marketing Expense - $551,416,708 $696,213,729 $687,049,286
Rent Expense Supplemental - - $179,142,800 $166,455,541
Professional Expense And Contract Services Expense - - $18,484,108 $21,224,370
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $5,694,086,308 $5,360,210,247 $4,648,778,870 $3,575,277,504
Net Interest Income $11,154,399,499 $10,220,989,807 $8,971,403,897 $7,407,922,694
Interest Income $20,506,141,380 $19,572,633,998 $16,755,875,005 $12,717,102,256
Normalized Income $5,694,086,308 $5,360,210,247 $4,647,645,197 $3,571,287,952
Net Income From Continuing And Discontinued Operation $5,694,086,308 $5,360,210,247 $4,648,778,870 $3,575,277,504
Net Income Common Stockholders $5,694,086,308 $5,360,210,247 $4,648,778,870 $3,575,277,504
Net Income $5,694,086,308 $5,360,210,247 $4,648,778,870 $3,575,277,504
Net Income Including Noncontrolling Interests $6,085,740,731 $5,732,077,905 $4,840,389,885 $3,724,928,117
Net Income Extraordinary $0 $0 - $0
Net Income Continuous Operations $6,085,740,731 $5,732,077,905 $4,840,389,885 $3,724,928,117
Pretax Income $8,121,867,894 $7,668,509,687 $6,460,938,253 $3,724,928,117
Special Income Charges $0 $0 $1,513,582 $5,699,359
Average Dilution Earnings - $-4,390,756 $-7,230,042 -
Depreciation Amortization Depletion Income Statement - $275,978,580 $203,278,431 $159,092,358
Depreciation Income Statement - $275,978,580 $203,278,431 $159,092,358
Depreciation And Amortization In Income Statement - - $203,278,431 $159,092,358
Per Share
Diluted EPS $1.57 $1.49 $1.30 $1.01
Basic EPS $1.59 $1.52 $1.33 $1.03
Other
Tax Effect Of Unusual Items $0 $0 $379,909 $1,709,808
Tax Rate For Calcs $0 $0 $0 $0
Total Unusual Items $0 $0 $1,513,582 $5,699,359
Total Unusual Items Excluding Goodwill $0 $0 $1,513,582 $5,699,359
Reconciled Depreciation $328,009,464 $282,602,950 $209,651,855 $171,754,606
Diluted Average Shares $38,077,346 $37,673,673 $37,514,352 $37,367,030
Basic Average Shares $37,515,393 $37,012,914 $36,784,131 $36,586,957
Diluted NI Availto Com Stockholders $5,694,086,308 $5,360,210,247 $4,641,548,460 $3,575,277,504
Minority Interests $-391,654,424 $-371,867,658 $-191,611,266 $-149,650,614
Tax Provision $2,036,127,163 $1,936,431,782 $1,620,548,369 $1,238,806,760
Selling General And Administration $11,249,473,031 $10,234,886,866 $3,067,684,453 $2,610,518,189
Insurance And Claims $8,596,256,564 $7,752,750,236 $176,930,982 $155,342,179
Salaries And Wages $2,653,216,467 $2,482,136,630 $2,015,396,942 $1,601,671,183
Other Special Charges - $-4,612,154 $-1,513,582 $-5,699,359
Occupancy And Equipment - $401,267,502 $379,956,178 $363,909,265
Gain On Sale Of Security - - $323,761,512 $-26,307,490
Rent And Landing Fees - - $179,142,800 $166,455,541
Other Gand A - - - $107,020,612
Fetched: 2026-07-04
Balance Sheet (Annual)
Metric 2026-03-31 2025-03-31 2024-03-31 2023-03-31
Assets
Net Tangible Assets $37,028,400,285 $32,084,714,725 $26,645,974,833 $22,520,636,977
Total Assets $306,144,754,055 $277,546,375,391 $248,325,955,816 $205,723,797,956
Goodwill And Other Intangible Assets $1,108,198,563 $888,595,741 $259,890,964 $10,644,097
Cash And Cash Equivalents $27,834,110,090 $25,031,975,687 $19,971,595,859 $17,181,446,972
Cash Financial $12,734,999,337 $12,630,348,073 $940,740,186 $911,901,099
Cash Cash Equivalents And Federal Funds Sold $27,834,110,090 $25,031,975,687 $19,971,595,859 $17,181,446,972
Notes Receivable - $4,867,575,285 $5,260,392,114 $5,226,446,241
Prepaid Assets - - $92,768,616 $94,642,471
Receivables - - $7,451,054,890 $6,813,637,959
Accounts Receivable - - $2,190,662,777 $1,587,191,718
Cash Equivalents - - $3,106,047,468 $2,332,455,302
Debt
Total Debt $23,137,004,905 $21,391,780,871 $21,113,310,022 $19,276,202,298
Long Term Debt And Capital Lease Obligation $23,137,004,905 $22,991,958,682 $19,296,494,757 $18,246,550,492
Long Term Debt $23,137,004,905 $19,015,506,219 $19,296,494,757 $18,246,550,492
Net Debt - $510,502,116 $1,141,714,163 $2,094,755,326
Current Debt And Capital Lease Obligation - $2,376,274,652 $1,816,815,265 $1,029,651,807
Current Debt - $2,376,274,652 $1,816,815,265 $1,029,651,807
Liabilities
Total Liabilities Net Minority Interest $266,273,810,616 $243,014,583,018 $219,961,222,727 $182,490,126,882
Derivative Product Liabilities - $1,951,908,442 $1,854,193,071 $1,930,302,023
Payables And Accrued Expenses - $7,889,920,702 $8,469,530,373 $4,330,439,375
Accounts Payable - $442,797,619 $409,511,651 $350,736,744
Payables - - $8,469,530,373 $4,330,439,375
Other Payable - - $8,060,018,722 $3,979,702,631
Equity
Common Stock Equity $38,136,598,848 $32,973,310,467 $26,905,865,797 $22,531,281,074
Total Equity Gross Minority Interest $39,870,943,439 $34,531,791,197 $28,364,733,089 $23,233,671,074
Stockholders Equity $38,136,598,848 $32,973,310,467 $26,905,865,797 $22,531,281,074
Other Equity Interest $281,730,051 $217,420,175 $147,617,441 $79,924,992
Gains Losses Not Affecting Retained Earnings $37,704,424,466 $13,767,134,799 $11,682,186,679 $22,304,636,014
Retained Earnings - $12,435,406,576 $9,435,481,379 -
Long Term Equity Investment - - $158,638,020 $673,747,657
Other
Ordinary Shares Number $75,216,283 $74,810,169 $73,764,032 $73,348,907
Share Issued $75,216,283 $74,810,169 $73,764,032 $73,348,907
Tangible Book Value $37,028,400,285 $32,084,715,261 $26,645,974,833 $22,520,636,977
Invested Capital $61,273,603,753 $54,365,091,338 $48,019,175,819 $41,807,483,372
Total Capitalization $61,273,603,753 $51,988,816,686 $46,202,360,554 $40,777,831,565
Minority Interest $1,734,344,591 $1,558,481,140 $1,458,867,292 $702,390,000
Capital Stock $150,444,332 $149,642,589 $147,550,320 $146,720,067
Common Stock $150,444,332 $149,642,862 $147,550,320 $146,720,067
Investments And Advances $91,462,175,049 $76,169,845,435 $69,571,441,569 $52,047,681,267
Goodwill $1,108,198,563 $888,595,741 $259,890,964 $10,644,097
Net PPE $1,829,867,703 $1,660,968,895 $1,390,785,368 $1,152,206,296
Foreign Currency Translation Adjustments - $223,878,379 $208,287,076 -
Unrealized Gain Loss - $233,197,413 $-3,296,250 -
Commercial Paper - $2,376,274,652 $1,816,815,265 $1,029,651,807
Available For Sale Securities - $75,931,924,829 $69,412,803,549 $51,373,933,610
Accumulated Depreciation - $-1,617,411,100 $-1,444,512,092 $-1,192,809,269
Other Properties - $2,072,225,252 $1,753,621,892 $1,354,044,558
Properties - $1,206,154,743 $1,081,675,569 $990,971,007
Long Term Provisions - - $647,080,492 $524,650,972
Gross PPE - - $2,835,297,460 $2,345,015,565
Treasury Shares Number - - - $0
Fetched: 2026-07-04
Cash Flow Statement (Annual)
Metric 2026-03-31 2025-03-31 2024-03-31 2023-03-31
Free Cash Flow
Free Cash Flow $6,680,191,380 $12,398,662,142 $16,135,077,371 $-655,343,812
Operating Activities
Operating Cash Flow $7,071,998,114 $12,899,712,577 $16,521,479,315 $-396,133,636
Cash Flow From Continuing Operating Activities $7,071,998,114 $12,899,712,577 $16,521,479,315 $-396,133,636
Operating Gains Losses $180,672 $-15,360,295 $168,360,761 $278,475,597
Investing Activities
Capital Expenditure $-391,806,735 $-501,050,435 $-386,401,945 $-259,210,176
Investing Cash Flow $-1,366,973,781 $-8,118,525,457 $-15,328,896,727 $-7,143,416,415
Cash Flow From Continuing Investing Activities $-1,366,973,781 $-8,118,525,457 $-15,328,896,727 $-7,143,416,415
Financing Activities
Issuance Of Capital Stock $142,925,425 $151,000,005 $122,990,287 $98,956,841
Financing Cash Flow $-489,553,586 $587,104,009 $1,445,852,313 $2,604,067,054
Cash Flow From Continuing Financing Activities $-489,553,586 $587,104,009 $1,445,852,313 $2,604,067,054
Cash Dividends Paid $-824,910,739 $-739,629,224 $-588,087,875 $-365,488,068
Common Stock Dividend Paid $-824,910,739 $-739,629,224 $-588,087,875 $-365,488,068
Net Common Stock Issuance $142,925,425 $151,000,005 $122,990,287 $98,956,841
Common Stock Issuance $142,925,425 $151,000,005 $122,990,287 $98,956,841
Other
Repayment Of Debt $-5,268,194,488 $-4,194,653,489 $-4,112,067,047 $-2,824,768,762
Issuance Of Debt $5,060,795,322 $4,248,581,012 $4,117,313,056 $4,384,054,398
End Cash Position $27,834,110,090 $22,481,456,566 $17,097,574,322 $14,333,665,646
Beginning Cash Position $22,481,456,566 $17,097,574,049 $14,333,665,646 $19,235,923,190
Effect Of Exchange Rate Changes $137,182,777 $15,591,387 $44,479,361 $33,225,453
Changes In Cash $5,215,470,747 $5,368,291,130 $2,638,434,902 $-4,935,482,997
Net Issuance Payments Of Debt $192,431,729 $1,175,733,229 $1,910,949,901 $2,870,598,281
Net Short Term Debt Issuance $399,830,895 $1,121,805,706 $1,905,703,892 $1,311,312,645
Net Long Term Debt Issuance $-207,399,166 $53,927,523 $5,246,009 $1,559,285,636
Long Term Debt Payments $-5,268,194,488 $-4,194,653,489 $-4,112,067,047 $-2,824,768,762
Long Term Debt Issuance $5,060,795,322 $4,248,581,012 $4,117,313,056 $4,384,054,398
Net Investment Purchase And Sale $-994,383,434 $-7,624,261,786 $-14,949,836,095 $-6,914,397,164
Net PPE Purchase And Sale $-372,590,347 $-494,263,670 $-379,060,631 $-229,019,251
Sale Of PPE $19,216,387 $6,786,765 $7,341,313 $30,190,925
Purchase Of PPE $-391,806,735 $-501,050,435 $-386,401,945 $-259,210,176
Taxes Refund Paid $-1,738,230,095 $-1,902,989,554 $-1,401,639,192 $-1,142,376,694
Change In Working Capital $-5,897,059 $6,724,552,725 $10,886,035,825 $-5,155,285,535
Change In Other Working Capital $20,425,984,865 $21,592,317,883 $26,231,990,934 $10,886,316,549
Change In Other Current Liabilities $5,173,675,577 $2,415,574,653 $3,181,651,063 $2,917,463,629
Change In Other Current Assets $-1,417,419,161 $-54,373,951 $197,676,414 $-1,743,396,618
Other Non Cash Items $-3,363,445 $-2,268,908 $315,907,667 $582,797,297
Stock Based Compensation $101,754,205 $82,998,952 $73,834,887 $54,417,102
Depreciation Amortization Depletion $328,009,464 $282,602,950 $209,651,855 $171,754,606
Depreciation And Amortization $328,009,464 $282,602,950 $209,651,855 $171,754,606
Gain Loss On Investment Securities $30,497,900 $-10,747,899 $169,874,343 $284,174,956
Gain Loss On Sale Of PPE $-30,317,228 $-4,612,395 $-1,513,582 $-5,699,359
Net Income From Continuing Operations $7,730,214,521 $7,296,642,029 $6,269,327,512 $4,814,083,991
Other Cash Adjustment Outside Changein Cash - $0 $80,994,414 -
Amortization Of Securities - - - -
Fetched: 2026-07-04