ICICI Prudential Asset Management Company
ICICIAMC · Financials > Finance - Asset Management Listing date: Dec. 19, 2025

Stock Price vs Company Growth
1d
0.2%
1w
4.8%
1m
5.8%
all
8.0%

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Last Traded Price

₹ 2,779 0.2%
2,516
2,961
Company Overview

Sales
5,195 Cr
Growth: 0.0%
Profit after Tax
2,813 Cr
Growth: 11.3%
Large Cap
1,37,354 Cr
P/E: 48.7x
Industry P/E: 23.8x
Fundamentals

Sales (Cr) ₹ 5,195
Growth 0.0%
EBITDA 72.7%
P/S 26.4x
Dividend 0.0%
P/E 48.7x
Book Value ₹ 1
PEG Ratio N/A
ROE 999.0%
P/B N/A
Shareholding Pattern

Increase    Decrease    No change
Company Profile Detailed

The company manages the investment portfolios of the ICICI Prudential Mutual Fund (the Fund) and provides various administrative services to the Fund and ICICI Prudential Trust. In addition to its mutual fund business, it also has a growing alternates business comprising portfolio management services (PMS), management of alternative investment funds (AIFs) and advisory services to offshore clients.
Belongs to (2 Indices)

Investors (3)