CRISIL Ltd
CRISIL Ltd Share Price Today: Live Updates & Key Insights
Get insights on CRISIL Ltd’s fundamentals, financials, shareholding, peer comparison, corporate actions & performance. Track key metrics, price trends & market sentiment for informed decisions. Explore all data at Motilal Oswal.
CRISIL Ltd Share Price Chart
CRISIL Ltd Fundamentals
Traded Volume: 39,132
Market Cap(Cr): 33,069
Avg Traded Price 4541.07
1 Year return -19.10%
Upper Circuit 4,603.3
Lower Circuit 4,515
P/E TTM 44.00
P/B Ratio 102.00
Traded Value(Cr) 1769.51
EPS TTM 102.448
Book value 102.448
Dividend 1.00%
CRISIL Ltd Share Price Performance
Shows the percentage change in stock price over different time periods
This section highlights CRISIL Ltd stock price performance across key timeframes, including 1-week, 1-month, 3-month, Year-To-Date (YTD), and 1-year returns. It provides insights into the CRISIL Ltd share price history, short-term movements, long-term trends, and overall investor sentiment
1W -1.99%
1M -7.96%
3M -15.62%
1Y -19.10%
YTD -28.41%
CRISIL Ltd Traded Volume Movement
Shows the trading volume over different time periods
This section highlights CRISIL Ltd daily and average traded volumes, offering insights into investor activity and market liquidity. Higher volumes than average often indicate rising interest, news impact, or shifting market sentiment
Yesterday 35694.00
Day Before Yesterday 25312.00
1W Avg 32206.40
1M Avg 33998.24
3M Avg 39145.35
CRISIL Ltd Technical Details
CRISIL Ltd technical indicators, such as support and resistance levels and pivot points, are calculated based on historical price and volume trends. These metrics help traders anticipate possible price movements and make informed trading decisions.
Support 1 4490
Support 2 4458
Support 3 4402
Pivot Point : 4547
Resistance 1 4578
Resistance 2 4635
Resistance 3 4667
CRISIL Ltd Corporate Actions
CRISIL Ltd corporate actions include dividends, bonus issues, stock splits, and key company updates that may affect share price and investor sentiment. This section provides timely details on past and upcoming actions, including ex-date, record date, and payout ratio - helping investors make informed decisions based on CRISIL Ltd’s capital allocation strategies.
All
Ex-Date 27-Oct-2025 Type D Description 16.00/share@1600.00% Record Date 27-Oct-2025 Ratio 1600.00
Ex-Date 28-Jul-2025 Type D Description 9.00/share@900.00% Record Date 28-Jul-2025 Ratio 900.00
Ex-Date 07-May-2025 Type D Description 8.00/share@800.00% Record Date 07-May-2025 Ratio 800.00
Ex-Date 11-Apr-2025 Type D Description 26.00/share@2600.00% Record Date 14-Apr-2025 Ratio 2600.00
Ex-Date 30-Oct-2024 Type D Description 15.00/share@1500.00% Record Date 30-Oct-2024 Ratio 1500.00
Ex-Date 31-Jul-2024 Type D Description 8.00/share@800.00% Record Date 31-Jul-2024 Ratio 800.00
Ex-Date 03-May-2024 Type D Description 7.00/share@700.00% Record Date 03-May-2024 Ratio 700.00
Ex-Date 28-Mar-2024 Type D Description 28.00/share@2800.00% Record Date - Ratio 2800.00
Ex-Date 22-Nov-2023 Type D Description 11.00/share@1100.00% Record Date 22-Nov-2023 Ratio 1100.00
Ex-Date 02-Aug-2023 Type D Description 8.00/share@800.00% Record Date 02-Aug-2023 Ratio 800.00
Ex-Date 04-May-2023 Type D Description 7.00/share@700.00% Record Date 04-May-2023 Ratio 700.00
Ex-Date 31-Mar-2023 Type D Description 23.00/share@2300.00% Record Date - Ratio 2300.00
Ex-Date 04-Nov-2022 Type D Description 10.00/share@1000.00% Record Date 07-Nov-2022 Ratio 1000.00
Ex-Date 04-Aug-2022 Type D Description 8.00/share@800.00% Record Date 05-Aug-2022 Ratio 800.00
Ex-Date 06-May-2022 Type D Description 7.00/share@700.00% Record Date 09-May-2022 Ratio 700.00
Ex-Date 30-Mar-2022 Type D Description 7.00/share@700.00% Record Date - Ratio 700.00
Ex-Date 30-Mar-2022 Type D Description 15.00/share@1500.00% Record Date - Ratio 1500.00
Ex-Date 24-Nov-2021 Type D Description 9.00/share@900.00% Record Date 25-Nov-2021 Ratio 900.00
Ex-Date 03-Aug-2021 Type D Description 8.00/share@800.00% Record Date 04-Aug-2021 Ratio 800.00
Ex-Date 05-May-2021 Type D Description 7.00/share@700.00% Record Date 06-May-2021 Ratio 700.00
Ex-Date 30-Mar-2021 Type D Description 14.00/share@1400.00% Record Date - Ratio 1400.00
Ex-Date 02-Nov-2020 Type D Description 7.00/share@700.00% Record Date 03-Nov-2020 Ratio 700.00
Ex-Date 04-Aug-2020 Type D Description 6.00/share@600.00% Record Date 05-Aug-2020 Ratio 600.00
Ex-Date 04-May-2020 Type D Description 6.00/share@600.00% Record Date 05-May-2020 Ratio 600.00
Ex-Date 31-Mar-2020 Type D Description 13.00/share@1300.00% Record Date - Ratio 1300.00
Ex-Date 21-Nov-2019 Type D Description 7.00/share@700.00% Record Date 22-Nov-2019 Ratio 700.00
Ex-Date 06-Aug-2019 Type D Description 6.00/share@600.00% Record Date 07-Aug-2019 Ratio 600.00
Ex-Date 06-May-2019 Type D Description 6.00/share@600.00% Record Date 07-May-2019 Ratio 600.00
Ex-Date 28-Mar-2019 Type D Description 11.00/share@1100.00% Record Date - Ratio 1100.00
Ex-Date 29-Oct-2018 Type D Description 7.00/share@700.00% Record Date 30-Oct-2018 Ratio 700.00
Ex-Date 27-Jul-2018 Type D Description 6.00/share@600.00% Record Date 30-Jul-2018 Ratio 600.00
Ex-Date 03-May-2018 Type D Description 6.00/share@600.00% Record Date 04-May-2018 Ratio 600.00
Ex-Date 27-Mar-2018 Type D Description 10.00/share@1000.00% Record Date - Ratio 1000.00
Ex-Date 31-Oct-2017 Type D Description 6.00/share@600.00% Record Date 01-Nov-2017 Ratio 600.00
Ex-Date 27-Jul-2017 Type D Description 6.00/share@600.00% Record Date 28-Jul-2017 Ratio 600.00
Ex-Date 03-May-2017 Type D Description 6.00/share@600.00% Record Date 04-May-2017 Ratio 600.00
Ex-Date 21-Mar-2017 Type D Description 9.00/share@900.00% Record Date - Ratio 900.00
Ex-Date 21-Oct-2016 Type D Description 7.00/share@700.00% Record Date 24-Oct-2016 Ratio 700.00
Ex-Date 28-Jul-2016 Type D Description 6.00/share@600.00% Record Date 29-Jul-2016 Ratio 600.00
Ex-Date 28-Apr-2016 Type D Description 5.00/share@500.00% Record Date 29-Apr-2016 Ratio 500.00
Ex-Date 08-Mar-2016 Type D Description 7.00/share@700.00% Record Date - Ratio 700.00
Ex-Date 08-Mar-2016 Type D Description 3.00/share@300.00% Record Date - Ratio 300.00
Ex-Date 21-Oct-2015 Type D Description 5.00/share@500.00% Record Date 23-Oct-2015 Ratio 500.00
Ex-Date 23-Jul-2015 Type D Description 4.00/share@400.00% Record Date 24-Jul-2015 Ratio 400.00
Ex-Date 23-Apr-2015 Type D Description 4.00/share@400.00% Record Date 24-Apr-2015 Ratio 400.00
Ex-Date 10-Mar-2015 Type D Description 6.00/share@600.00% Record Date - Ratio 600.00
Ex-Date 10-Mar-2015 Type D Description 4.00/share@400.00% Record Date - Ratio 400.00
Ex-Date 22-Oct-2014 Type D Description 4.00/share@400.00% Record Date 27-Oct-2014 Ratio 400.00
Ex-Date 24-Jul-2014 Type D Description 3.00/share@300.00% Record Date 25-Jul-2014 Ratio 300.00
Ex-Date 25-Apr-2014 Type D Description 3.00/share@300.00% Record Date 28-Apr-2014 Ratio 300.00
Ex-Date 11-Mar-2014 Type D Description 6.00/share@600.00% Record Date - Ratio 600.00
Ex-Date 11-Mar-2014 Type D Description 4.00/share@400.00% Record Date - Ratio 400.00
Ex-Date 24-Oct-2013 Type D Description 3.00/share@300.00% Record Date 25-Oct-2013 Ratio 300.00
Ex-Date 07-Aug-2013 Type D Description 3.00/share@300.00% Record Date 08-Aug-2013 Ratio 300.00
Ex-Date 25-Apr-2013 Type D Description 3.00/share@300.00% Record Date 26-Apr-2013 Ratio 300.00
Ex-Date 12-Mar-2013 Type D Description 4.00/share@400.00% Record Date - Ratio 400.00
Ex-Date 23-Oct-2012 Type D Description 3.00/share@300.00% Record Date 26-Oct-2012 Ratio 300.00
Ex-Date 23-Jul-2012 Type D Description 3.00/share@300.00% Record Date 24-Jul-2012 Ratio 300.00
Ex-Date 24-Apr-2012 Type D Description 3.00/share@300.00% Record Date 25-Apr-2012 Ratio 300.00
Ex-Date 24-Apr-2012 Type D Description 3.00/share@300.00% Record Date 25-Apr-2012 Ratio 300.00
Ex-Date 13-Mar-2012 Type D Description 2.75/share@275.00% Record Date - Ratio 275.00
Ex-Date 28-Oct-2011 Type D Description 2.75/share@275.00% Record Date 31-Oct-2011 Ratio 275.00
Ex-Date 28-Sep-2011 Type S Description share@1:10.00 Record Date 30-Sep-2011 Ratio 1:10.00
Ex-Date 26-Jul-2011 Type D Description 27.50/share@275.00% Record Date 27-Jul-2011 Ratio 275.00
Ex-Date 20-Apr-2011 Type D Description 27.50/share@275.00% Record Date 22-Apr-2011 Ratio 275.00
Ex-Date 14-Mar-2011 Type D Description 25.00/share@250.00% Record Date - Ratio 250.00
Ex-Date 22-Oct-2010 Type D Description 25.00/share@250.00% Record Date 25-Oct-2010 Ratio 250.00
Ex-Date 28-Jul-2010 Type D Description 25.00/share@250.00% Record Date 29-Jul-2010 Ratio 250.00
Ex-Date 22-Apr-2010 Type D Description 100.00/share@1000.00% Record Date 23-Apr-2010 Ratio 1000.00
Ex-Date 22-Apr-2010 Type D Description 25.00/share@250.00% Record Date 23-Apr-2010 Ratio 250.00
Ex-Date 12-Mar-2010 Type D Description 25.00/share@250.00% Record Date - Ratio 250.00
Ex-Date 05-Nov-2009 Type D Description 25.00/share@250.00% Record Date 06-Nov-2009 Ratio 250.00
Ex-Date 31-Jul-2009 Type D Description 25.00/share@250.00% Record Date 03-Aug-2009 Ratio 250.00
Ex-Date 05-May-2009 Type D Description 25.00/share@250.00% Record Date 06-May-2009 Ratio 250.00
Ex-Date 20-Mar-2009 Type D Description 35.00/share@350.00% Record Date - Ratio 350.00
Ex-Date 31-Oct-2008 Type D Description 25.00/share@250.00% Record Date 03-Nov-2008 Ratio 250.00
Ex-Date 31-Jul-2008 Type D Description 10.00/share@100.00% Record Date 01-Aug-2008 Ratio 100.00
Ex-Date 14-Mar-2008 Type D Description 25.00/share@250.00% Record Date - Ratio 250.00
Ex-Date 20-Mar-2007 Type D Description 15.00/share@150.00% Record Date - Ratio 150.00
Dividends
Announcement Date 27-Oct-2025 Ex Dividend Date 27-Oct-2025 Dividend(%) 1600
Announcement Date 28-Jul-2025 Ex Dividend Date 28-Jul-2025 Dividend(%) 900
Announcement Date 07-May-2025 Ex Dividend Date 07-May-2025 Dividend(%) 800
Announcement Date 11-Apr-2025 Ex Dividend Date 11-Apr-2025 Dividend(%) 2600
Announcement Date 30-Oct-2024 Ex Dividend Date 30-Oct-2024 Dividend(%) 1500
Announcement Date 31-Jul-2024 Ex Dividend Date 31-Jul-2024 Dividend(%) 800
Announcement Date 03-May-2024 Ex Dividend Date 03-May-2024 Dividend(%) 700
Announcement Date 28-Mar-2024 Ex Dividend Date 28-Mar-2024 Dividend(%) 2800
Announcement Date 22-Nov-2023 Ex Dividend Date 22-Nov-2023 Dividend(%) 1100
Announcement Date 02-Aug-2023 Ex Dividend Date 02-Aug-2023 Dividend(%) 800
Announcement Date 04-May-2023 Ex Dividend Date 04-May-2023 Dividend(%) 700
Announcement Date 31-Mar-2023 Ex Dividend Date 31-Mar-2023 Dividend(%) 2300
Announcement Date 04-Nov-2022 Ex Dividend Date 04-Nov-2022 Dividend(%) 1000
Announcement Date 04-Aug-2022 Ex Dividend Date 04-Aug-2022 Dividend(%) 800
Announcement Date 06-May-2022 Ex Dividend Date 06-May-2022 Dividend(%) 700
Announcement Date 30-Mar-2022 Ex Dividend Date 30-Mar-2022 Dividend(%) 1500
Announcement Date 30-Mar-2022 Ex Dividend Date 30-Mar-2022 Dividend(%) 700
Announcement Date 24-Nov-2021 Ex Dividend Date 24-Nov-2021 Dividend(%) 900
Announcement Date 03-Aug-2021 Ex Dividend Date 03-Aug-2021 Dividend(%) 800
Announcement Date 05-May-2021 Ex Dividend Date 05-May-2021 Dividend(%) 700
Announcement Date 30-Mar-2021 Ex Dividend Date 30-Mar-2021 Dividend(%) 1400
Announcement Date 02-Nov-2020 Ex Dividend Date 02-Nov-2020 Dividend(%) 700
Announcement Date 04-Aug-2020 Ex Dividend Date 04-Aug-2020 Dividend(%) 600
Announcement Date 04-May-2020 Ex Dividend Date 04-May-2020 Dividend(%) 600
Announcement Date 31-Mar-2020 Ex Dividend Date 31-Mar-2020 Dividend(%) 1300
Announcement Date 21-Nov-2019 Ex Dividend Date 21-Nov-2019 Dividend(%) 700
Announcement Date 06-Aug-2019 Ex Dividend Date 06-Aug-2019 Dividend(%) 600
Announcement Date 06-May-2019 Ex Dividend Date 06-May-2019 Dividend(%) 600
Announcement Date 28-Mar-2019 Ex Dividend Date 28-Mar-2019 Dividend(%) 1100
Announcement Date 29-Oct-2018 Ex Dividend Date 29-Oct-2018 Dividend(%) 700
Announcement Date 27-Jul-2018 Ex Dividend Date 27-Jul-2018 Dividend(%) 600
Announcement Date 03-May-2018 Ex Dividend Date 03-May-2018 Dividend(%) 600
Announcement Date 27-Mar-2018 Ex Dividend Date 27-Mar-2018 Dividend(%) 1000
Announcement Date 31-Oct-2017 Ex Dividend Date 31-Oct-2017 Dividend(%) 600
Announcement Date 27-Jul-2017 Ex Dividend Date 27-Jul-2017 Dividend(%) 600
Announcement Date 03-May-2017 Ex Dividend Date 03-May-2017 Dividend(%) 600
Announcement Date 21-Mar-2017 Ex Dividend Date 21-Mar-2017 Dividend(%) 900
Announcement Date 21-Oct-2016 Ex Dividend Date 21-Oct-2016 Dividend(%) 700
Announcement Date 28-Jul-2016 Ex Dividend Date 28-Jul-2016 Dividend(%) 600
Announcement Date 28-Apr-2016 Ex Dividend Date 28-Apr-2016 Dividend(%) 500
Announcement Date 08-Mar-2016 Ex Dividend Date 08-Mar-2016 Dividend(%) 700
Announcement Date 08-Mar-2016 Ex Dividend Date 08-Mar-2016 Dividend(%) 300
Announcement Date 21-Oct-2015 Ex Dividend Date 21-Oct-2015 Dividend(%) 500
Announcement Date 23-Jul-2015 Ex Dividend Date 23-Jul-2015 Dividend(%) 400
Announcement Date 23-Apr-2015 Ex Dividend Date 23-Apr-2015 Dividend(%) 400
Announcement Date 10-Mar-2015 Ex Dividend Date 10-Mar-2015 Dividend(%) 600
Announcement Date 10-Mar-2015 Ex Dividend Date 10-Mar-2015 Dividend(%) 400
Announcement Date 22-Oct-2014 Ex Dividend Date 22-Oct-2014 Dividend(%) 400
Announcement Date 24-Jul-2014 Ex Dividend Date 24-Jul-2014 Dividend(%) 300
Announcement Date 25-Apr-2014 Ex Dividend Date 25-Apr-2014 Dividend(%) 300
Announcement Date 11-Mar-2014 Ex Dividend Date 11-Mar-2014 Dividend(%) 600
Announcement Date 11-Mar-2014 Ex Dividend Date 11-Mar-2014 Dividend(%) 400
Announcement Date 24-Oct-2013 Ex Dividend Date 24-Oct-2013 Dividend(%) 300
Announcement Date 07-Aug-2013 Ex Dividend Date 07-Aug-2013 Dividend(%) 300
Announcement Date 25-Apr-2013 Ex Dividend Date 25-Apr-2013 Dividend(%) 300
Announcement Date 12-Mar-2013 Ex Dividend Date 12-Mar-2013 Dividend(%) 400
Announcement Date 23-Oct-2012 Ex Dividend Date 23-Oct-2012 Dividend(%) 300
Announcement Date 23-Jul-2012 Ex Dividend Date 23-Jul-2012 Dividend(%) 300
Announcement Date 24-Apr-2012 Ex Dividend Date 24-Apr-2012 Dividend(%) 300
Announcement Date 24-Apr-2012 Ex Dividend Date 24-Apr-2012 Dividend(%) 300
Announcement Date 13-Mar-2012 Ex Dividend Date 13-Mar-2012 Dividend(%) 275
Announcement Date 28-Oct-2011 Ex Dividend Date 28-Oct-2011 Dividend(%) 275
Announcement Date 26-Jul-2011 Ex Dividend Date 26-Jul-2011 Dividend(%) 275
Announcement Date 20-Apr-2011 Ex Dividend Date 20-Apr-2011 Dividend(%) 275
Announcement Date 14-Mar-2011 Ex Dividend Date 14-Mar-2011 Dividend(%) 250
Announcement Date 22-Oct-2010 Ex Dividend Date 22-Oct-2010 Dividend(%) 250
Announcement Date 28-Jul-2010 Ex Dividend Date 28-Jul-2010 Dividend(%) 250
Announcement Date 22-Apr-2010 Ex Dividend Date 22-Apr-2010 Dividend(%) 250
Announcement Date 22-Apr-2010 Ex Dividend Date 22-Apr-2010 Dividend(%) 1000
Announcement Date 12-Mar-2010 Ex Dividend Date 12-Mar-2010 Dividend(%) 250
Announcement Date 05-Nov-2009 Ex Dividend Date 05-Nov-2009 Dividend(%) 250
Announcement Date 31-Jul-2009 Ex Dividend Date 31-Jul-2009 Dividend(%) 250
Announcement Date 05-May-2009 Ex Dividend Date 05-May-2009 Dividend(%) 250
Announcement Date 20-Mar-2009 Ex Dividend Date 20-Mar-2009 Dividend(%) 350
Announcement Date 31-Oct-2008 Ex Dividend Date 31-Oct-2008 Dividend(%) 250
Announcement Date 31-Jul-2008 Ex Dividend Date 31-Jul-2008 Dividend(%) 100
Announcement Date 14-Mar-2008 Ex Dividend Date 14-Mar-2008 Dividend(%) 250
Announcement Date 20-Mar-2007 Ex Dividend Date 20-Mar-2007 Dividend(%) 150
Bonus
No Bonus has been declared by CRISIL
Splits
Record Date 30-Sep-2011 Split Date 28-Sep-2011 Face Value (Before/After) 10.00/1.00
Others
Rights No Rights has been declared by CRISIL
CRISIL Ltd Peer Comparison
Shows key financial metrics for the company and its peers
This section compares CRISIL Ltd with leading peers in the banking sector based on key metrics such as market capitalization, 1-year return, P/E (TTM), and PB ratio. It helps investors evaluate CRISIL Ltd's relative performance and valuation against major competitors.
Stock Name Central Depository Services (India) Ltd ₹1610.20 (-1.82%) M. Cap (Cr) 336.53 1 Yr Return (%) +4.26% P/E (TTM) 71.15 PB Ratio 22.01
Stock Name CRISIL Ltd ₹4521.90 (-1.44%) M. Cap (Cr) 330.69 1 Yr Return (%) -19.10% P/E (TTM) 44.14 PB Ratio 13.67
Stock Name IIFL Finance Ltd ₹540.00 (-0.87%) M. Cap (Cr) 229.56 1 Yr Return (%) +32.29% P/E (TTM) 26.75 PB Ratio 1.90
Stock Name National Securities Depository Ltd ₹1136.50 (-1.51%) M. Cap (Cr) 227.30 1 Yr Return (%) NaN% P/E (TTM) 61.58 PB Ratio 11.33
Stock Name KFin Technologies Ltd ₹1065.10 (-1.42%) M. Cap (Cr) 183.62 1 Yr Return (%) +3.34% P/E (TTM) 53.10 PB Ratio 15.09
Stock Name RRP Semiconductor Ltd ₹11549.95 (-1.00%) M. Cap (Cr) 157.36 1 Yr Return (%) NaN% P/E (TTM) -6347.59 PB Ratio 1375.37
Stock Name Edelweiss Financial Services Ltd ₹111.69 (-1.61%) M. Cap (Cr) 105.71 1 Yr Return (%) +8.57% P/E (TTM) 24.88 PB Ratio 2.09
CRISIL Ltd Cash Flow
Cash flow data provides a view of how money is generated and spent by CRISIL Ltd, across its operating activities, investing activities, and financing activities.
PARTICULARS Operating Activities Dec 2024 320.31 Dec 2023 281.16 Dec 2022 188.82 Dec 2021 -103.15 Dec 2020 386.90
PARTICULARS Investing Activities Dec 2024 103.23 Dec 2023 147.73 Dec 2022 124.74 Dec 2021 385.02 Dec 2020 -118.51
PARTICULARS Financing Activities Dec 2024 -435.44 Dec 2023 -396.97 Dec 2022 -354.56 Dec 2021 -276.01 Dec 2020 -241.92
PARTICULARS Net Cash Flow Dec 2024 -12.07 Dec 2023 32.10 Dec 2022 -40.57 Dec 2021 5.86 Dec 2020 26.48
CRISIL Ltd Shareholding Pattern
This shows the ownership breakdown of CRISIL Ltd, highlighting participation from Foreign Institutional Investors (FII), Mutual Funds, Public, Other Institutions, and Promoters.
Promoter 66.64%
Public 13.37%
Other Institutions 5.32%
FII 7.81%
Mutual Funds 6.85%
About CRISIL Ltd
CRISIL Limited was incorporated in year 1987 with the name 'Credit Rating Information Services of India Limited'. The Company was initially promoted by leading financial institutions, nationalised banks, foreign banks and private sector banks. Thereafter, the Company's name was changed from Credit Rating Information Services of India Limited to Crisil Limited in December, 2003.CRISIL Limited is a globally-diversified analytical Company, providing ratings services, data, research, risk and policy advisory, analytics and solution services. The Company is India's leading ratings agency. CRISIL is the foremost provider of high-end research to the world's largest banks and leading corporations. CRISIL delivers analysis, opinions, and solutions that make markets function better. The Company's businesses operate from India, the US, the United Kingdom (UK), Argentina, China, Poland, Singapore, Hong Kong, Australia, Japan, Switzerland and the United Arab Emirates (UAE).Apart from this, they are majority owned by S&P Global Inc (SPGI), the world's foremost provider of credit ratings, benchmarks and analytics in the global capital and commodity markets offering ESG solutions, deep data and insights on critical economic, market and business factors. The Company work with commercial and investment banks, insurance companies, private equity players, hedge funds and asset management companies globally. It also work with governments and policymakers in the infrastructure space in India and other emerging markets.CRISIL operates through 3 business segments: Ratings, Research and Advisory. Rating services include credit ratings for corporates, banks, small and medium enterprises (SME), training in the credit rating field, credit analysis services, grading services and global analytical services. Research segment provides equity research, industry reports, customized research assignments, subscription to data services and initial public offer grading. It operates from seven research centers worldwide. During the year 1995-96, they formed a strategic alliance with Standard & Poor's rating group, New York. They also made a tie up with International Information Vendors for dissemination of CRISIL Ratings. The company launched CRISIL 500 equity index during the year. During the year 1996-97, the company introduced the ratings on mutual funds, bank loan ratings and public finance ratings. During the next year, they developed and launched municipal bond ratings and also launched financial strength rating for insurance companies. The company with National Stock Exchange set up a joint venture company with the name IISL for undertaking index business and related activities. They also launched Crisil MNC Index and Crisil Indian Business Groups Index during the year.During the year 1999-2000, the company acquired the business of Information Products and Research Services (India) Pvt Ltd, alongwith their brand INFAC. During the next year, they introduced mutual fund ranking service for the domestic mutual fund market. They also launched Crisil-Naredco ratings initiative for the real estate sector.During the year 2001-02, the company launched Crisil MarketWire which is a real time financial news service. During the year 2002-03, they set up Investment and Risk Management Services which is an independent division and also offer evaluation services for film and TV software producers.They acquired Gas strategies Group Ltd, a London based company, engaged in as consulting, information and training/ conferences. Also, they made an equity investment in the Caribbean Information & Credit Rating Services Ltd which is the first regional rating agency in the world.During the year 2004-05, Irevna group of companies was acquired by the company. The company transferred the Advisory Business of the company to Crisil MarketWire Ltd with effect from April 01, 2007. Crisil Research & Information Services Ltd, Global Data Services of India Ltd and Irevna Research Services Ltd merged with the company with effect from April 1, 2007.In February 2008, the company reached a preliminary understanding with Equifax Inc, USA and Tata Capital Ltd for setting up a Credit Information Company in India. They also proposed to set up a subsidiary in Poland and Duabi through their wholly owned subsidiary, Irevana Ltd, UK.In the year 2008, CRISIL Infrastructure Advisory was reorganised with the seperation of business development and delivery functions. They completed a large number of international engagements. The company divested 90% of their equity in their UK subsidiary, Gas Strategies Group Ltd (GSG), to the GSG management team. The company now has a 10% shareholding in the company. In the year 2009, the company launched a first-of-its-kind publication, India's Top 50 Microfinance Institutions, profiling the leading microfinance institutions in India. They assigned India's first-ever rating for securitisation of microfinance receivables. They introduced CreditAlerts to provide Insights to market participants on trends in specific sectors. They extended operations at Global Analytical Centre to 24/6 to provide real-time support o Standard& Poor's during Us market hour.In the year 2010, the company launched Real Estate Star Ratings,a first-of-its-kind service for retail investors in the real estate sector. They expanded operations at Global Analytical Centre (GAC) to support Standard & Poor's (S&P). In September 22, 2010, the company signed agreements for the acquisition of the assets of Pipal Research Corporation (PRC) including 100% of the share capital of Pipal Research Analytics and Information Services India Pvt Ltd. After completion of all conditions precedent, the transaction was completed with effect from December 3, 2010.In the year 2011, the company launched Education Grading, Solar Grading and, Gold and Gilt Index. CRISIL Global Research & Analytics received NASSCOM Exemplary Talent Practices Award.In 2012, CRISIL achieved a landmark of assigning its 10,000th bank loan rating. In 2013, McGraw Hill Financial Increased Stake in CRISIL to 67.8%. During the year, CRISIL launched CRISIL Inclusix, India's most comprehensive financial inclusion index which accurately measures the extent of financial inclusion in the country, right down to each of the 632 districts.In 2014, CRISIL assigned rating for India's first Commercial Mortgage Backed Securities. During the year, CRISIL introduced Fund Management Capability Ratings for the mutual fund industry. In 2015, CRISIL approved the proposal to invest in financial technology companies in areas/sectors that are deemed strategic for CRISIL. CRISIL Ltd. has approved the Scheme of Amalgamation of its three wholly owned subsidiary companies, with the Company. During the year, CRISIL assigned rating to an innovative partially guaranteed debenture issue of a passive infrastructure SPV backed by first-loss partial guarantee from IIFCL.In 2016, CRISIL launched the first hybrid issuance ratings in the insurance sector. During the year, CRISIL launched first Infrastructure Rating on the `Expected Loss' scale.In 2017, CRISIL launched smefirst, an online platform that allows SMEs easy access to ratings and other related services. During the year, CRISIL acquired 8.9% stake in rival credit rating agency CARE Ratings. During the year, CRISIL launched India's first infrastructure investability index. Small Industries Development Bank of India (SIDBI) and CRISIL signed a MoU to launch India's first MSME Sentiment index named CriSidEx. During the year, CRISIL launched rankings for unit linked insurance plans (ULIPs).Also during the year, CRISIL entered into a definitive agreement to acquire 100% stake in Pragmatix Services Private Limited, a data analytics company. Headquartered in Mumbai, Pragmatix provides analytics and solutions to retail and commercial banks, financial institutions, asset managers, insurers and telecom companies. Pragmatix provides solutions across the risk, sales, and finance domains in India, Middle East and North America. Pragmatix's intellectual property includes a proprietary enterprise data analytics platform with pre-configured data models, KPIs and algorithms that offer accelerated business solutions.In 2018, CRISIL launched India's first index to benchmark performance of investments of foreign portfolio investors (FPI) in the fixed-income market, in both rupee and dollar versions.On 21 May 2018, CRISIL announced that it has assigned India's first rating for road projects based on the toll-operate-transfer (TOT) model. The rating, `Provisional CRISIL AA-(SO)/Stable1', was assigned to the bank facilities of nine special purpose vehicles (SPVs) sponsored by Macquarie Asia Infrastructure Fund 2 (MAIF 2) under the TOT model.During year 2019-20, the Company acquired Greenwich Associates, a leading provider of proprietary benchmarking data, analytics and qualitative insights to financial services firms worldwide. In 2020, CRISIL Ratings assigned a rating to the first dealer securitisation transaction in India and seven covered bond transactions. It launched benchmark indices for the domestic Alternative Investment Fund (AIF) industry. It remained the largest provider of fixed income indices in India and consolidated the position by launching two new indices in 2020, taking the total count to 98. CRISIL enhanced Alphatrax, the wealth tracking solution, with six new reports and addition of two key asset classes, AIF and PMS to go with existing direct equity, direct debt and mutual fund coverage.During the year 2020-21, UK-based non-operating wholly-owned subsidiary, Greenwich Associates UK (Holdings) Limited was closed post receiving the requisite approval of the competent authorities, which consequently has ceased to be a subsidiary of CRISIL Limited in December, 2020.During the year 2020-21 , Company sold its property, CRISIL House, situated at Chakala, Andheri East, in Mumbai for sale consideration amounting to Rs. 49 crore. CRISIL Limited (CRISIL) has transferred its Ratings business to its wholly owned subsidiary, CRISIL Ratings Limited, which completed with effect from December 31, 2020. In 2021, CRISIL launched a series of thought leadership initiatives during the year, which were extensively covered by the media and well-appreciated by stakeholders. It announced over 1000 new ratings in 2021; total ratings outstanding were ~7,000. It had a leading position in the corporate bond market, backed by preference for quality ratings among investors as well as issuers. It focused on high-growth segments and existing relationships consolidated their share in the bond market. It also on boarded over 150 new large corporate clients. It continued to be a leading credit rating agency in the BLR space. As part of ongoing process improvement initiatives, CRISIL launched a new technology-based workflow platform for Ratings operations. It launched 'CRISIL ESG Gauge', an assessment of Indian companies based on a proprietary Environmental, Social, Governance (ESG) framework in June, 2021. The Industry Research vertical launched comprehensive sectoral reports and databases targeted at corporate clients. The Funds & Fixed Income Research business maintained a dominant position, driven by momentum in benchmarking and grading services for AIFs, and valuations for fixed income and structured products. It launched nine new indices in 2021, taking the total to 107. Quantix, a strategic initiative in the data and analytics space, improved its value proposition by enhancing data coverage and strengthening analytical tools. As on December 31, 2021, the Company had 3 Indian and 13 overseas wholly owned subsidiaries.During 2021-22, the merger of CRISIL Risk and Infrastructure Solutions Limited and Pragmatix Services India Private Limited into and with CRISIL Limited through the Scheme of Amalgamation was made effective from September 1, 2022. Consequent to the amalgamation, the risk solutions, business intelligence and infrastructure consultancy businesses was consolidated under CRISIL's Market Intelligence and Analytics business. Thereafter, the Company announced 1,200+ new bank loan ratings (BLRs), a 20% growth on-year. It launched 38 new fixed income indices in 2022 to the new benchmarking requirements of mutual funds, and another 21 for passive mutual fund launches; launched CRISIL AIF benchmarks for sub-categories; enhanced the features in Alphatrax, wealth tracking solution, through effort to consistently improve and enrich customer experience and introduced Quantix, data and analytics platform, developed new capabilities for non-financial data. The Company increased share of business from international markets. It increased traction in regulatory solutions, especially in the asset classification and provisioning solution; integrated Solution with data gaining good traction on credit monitoring and automation.Peter Lee Associates Pty. Limited (Peter Lee) was acquired in March 2023 and Bridge To India Energy Private Limited was acquired in September 2023, making them as wholly owned subsidiaries of the Company. The Company expanded the client engagement using Q2 Client Intelligence Platform. India's first AIF benchmark launched in 2023. 150,000 grades and assessments assigned by SME solutions business. The Market Intelligence and Analytics (MI&A) division gained momentum in credit risk solutions, and research and consulting services. Global Research & Risk Solutions (GR&RS) division saw traction in lending and buyside segment, while Global Benchmarking Analytics (GBA) saw momentum in corporate and investment banking (CIB), driven by emphasis on client engagement and product innovation. In 2023, Company set up a delivery center in Colombia to service their North American clients, and significantly augment the global delivery model. The Company acquired cloud migration by exploring the prospects offered by GenAI to drive growth and efficiency.Growth at Global Analytics Centre (GAC) of CRISIL was driven by surveillance support across the analytical practices of S&P Ratings and support in newer areas across S&P Global in FY 2024. Crisil ESG Ratings & Analytics Limited, a wholly owned subsidiary of Crisil Ratings, received approval as a Category 1 provider of ESG Ratings in India. Crisil Intelligence gained momentum across its services. The thematic research studies received wide coverage. Consulting services saw significant growth, driven by government initiatives in infrastructure and local economic development. Company also rolled out an improved value proposition of our data analytics, risk, and regulatory solutions. Crisil Coalition Greenwich progressed by making a move in corporate and investment banking, with scaling of product offerings and client engagement strengthening demand from large commercial banks. Growth in the commercial and community banking space benefited from digital banking programmes. Crisil Integral IQ made progress in using GenAI (generative artificial intelligence) to develop client solutions. Risk Solutions saw increased client engagement in transformation and risk operations. Overall curtailed discretionary spending & cost cutting pressures by financial services clients impacted growth in the business. Chartis Research recognized its expertise in the credit and lending operations, credit portfolio management solutions, credit risk management solutions and regulatory reporting solutions in FY 2024.
Chairman & Non Executive Dir.
Yann Le Pallec
Registered office CRSIL House Central Avenue, Hiranandani BusinessPark Powai, Mumbai, Maharashtra, 400076
FAX :91-22-33423000
Background
Incorporation Year 1987
Face Value ₹1.00
Market Lot 1
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