ICICI Prudential Asset Management Co Ltd
ICICI Prudential Asset Management Co Ltd Share Price Today: Live Updates & Key Insights
Get insights on ICICI Prudential Asset Management Co 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.
ICICI Prudential Asset Management Co Ltd Share Price Chart
ICICIAMC at 10 Jul 2026 05:52 PM Asset Management Cos.
3159.60 -21.50(-0.68%)
Lowest Today 3144.30
Highest Today 3205.00
Today's Open 3190.80
Prev. Close 3181.10
52 Week High 3611.00
52 Week Low 2530.00
ICICI Prudential Asset Management Co Ltd Fundamentals
Traded Volume: 6,34,775
Market Cap(Cr): 156,165.93
Avg Traded Price 3168.10
1 Year return %
Upper Circuit 3,205
Lower Circuit 3,144.3
P/E TTM 47.00
P/B Ratio 37.695
Traded Value(Cr) 20056.35
EPS TTM 66.731
Book value/Share 84.390
Dividend Yield 1Y 0.86%
ICICI Prudential Asset Management Co Ltd Share Price Performance
Shows the percentage change in stock price over different time periods
This section highlights ICICI Prudential Asset Management Co 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 ICICI Prudential Asset Management Co Ltd share price history, short-term movements, long-term trends, and overall investor sentiment
1W -5.98%
1M -2.72%
3M -2.81%
1Y 0.00%
YTD +20.87%
ICICI Prudential Asset Management Co Ltd Traded Volume Movement
Shows the trading volume over different time periods
This section highlights ICICI Prudential Asset Management Co 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 3.87L
Day Before Yesterday 2.18L
1W Avg 2.54L
1M Avg 6.60L
3M Avg 4.98L
ICICI Prudential Asset Management Co Ltd Technical Details
ICICI Prudential Asset Management Co 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 3157
Support 2 3133
Support 3 3108
Pivot Point : 3182
Resistance 1 3206
Resistance 2 3231
Resistance 3 3255
ICICI Prudential Asset Management Co Ltd Corporate Actions
ICICI Prudential Asset Management Co 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 ICICI Prudential Asset Management Co Ltd’s capital allocation strategies.
All
Ex-Date 12-Jun-2026 Type D Description 12.40/share@1240.00% Record Date 12-Jun-2026 Ratio 1240.00
Ex-Date 21-Jan-2026 Type D Description 14.85/share@1485.00% Record Date 21-Jan-2026 Ratio 1485.00
Dividends
Announcement Date 12-Jun-2026 Ex Dividend Date 12-Jun-2026 Dividend(%) 1240
Announcement Date 21-Jan-2026 Ex Dividend Date 21-Jan-2026 Dividend(%) 1485
Bonus
No Bonus has been declared by ICICIAMC
Splits
No Split has been declared by ICICIAMC
Others
Rights No Rights has been declared by ICICIAMC
ICICI Prudential Asset Management Co Ltd Peer Comparison
Shows key financial metrics for the company and its peers
This section compares ICICI Prudential Asset Management Co Ltd with leading peers in the banking and finance sector based on key metrics such as market capitalization, 1-year return, P/E (TTM), and PB ratio. It helps investors evaluate ICICI Prudential Asset Management Co Ltd's relative performance and valuation against major competitors.
Stock Name ICICI Prudential Asset Management Co Ltd ₹3159.60 (-0.68%) M. Cap (Cr) 1561.66 1 Yr Return (%) NaN% P/E (TTM) 47.35 PB Ratio 37.44
Stock Name HDFC Asset Management Company Ltd ₹2761.20 (+0.88%) M. Cap (Cr) 1183.60 1 Yr Return (%) +7.42% P/E (TTM) 41.41 PB Ratio 12.82
Stock Name Nippon Life India Asset Management Ltd ₹1212.70 (-0.45%) M. Cap (Cr) 775.27 1 Yr Return (%) +51.40% P/E (TTM) 50.69 PB Ratio 16.64
Stock Name Aditya Birla Sun Life AMC Ltd ₹1146.60 (+0.93%) M. Cap (Cr) 331.60 1 Yr Return (%) +40.31% P/E (TTM) 34.01 PB Ratio 8.20
Stock Name UTI Asset Management Company Ltd ₹1004.30 (+2.05%) M. Cap (Cr) 129.08 1 Yr Return (%) -25.29% P/E (TTM) 31.94 PB Ratio 2.87
Stock Name Canara Robeco Asset Management Company Ltd ₹253.47 (-0.20%) M. Cap (Cr) 50.55 1 Yr Return (%) NaN% P/E (TTM) 24.80 PB Ratio 6.78
ICICI Prudential Asset Management Co Ltd Cash Flow
Cash flow data provides a view of how money is generated and spent by ICICI Prudential Asset Management Co Ltd, across its operating activities, investing activities, and financing activities.
PARTICULARS Operating Activities Mar 2026 3281.56 Mar 2025 2573.50 Mar 2024 1764.54 Mar 2023 1399.96 Mar 2022 0.00
PARTICULARS Investing Activities Mar 2026 -469.06 Mar 2025 -512.88 Mar 2024 -245.60 Mar 2023 -129.44 Mar 2022 0.00
PARTICULARS Financing Activities Mar 2026 -2693.97 Mar 2025 -2068.29 Mar 2024 -1527.28 Mar 2023 -1264.26 Mar 2022 0.00
PARTICULARS Net Cash Flow Mar 2026 118.53 Mar 2025 -7.67 Mar 2024 -8.34 Mar 2023 6.26 Mar 2022 0.00
ICICI Prudential Asset Management Co Ltd Shareholding Pattern
This shows the ownership breakdown of ICICI Prudential Asset Management Co Ltd, highlighting participation from Foreign Institutional Investors (FII), Mutual Funds, Public, Other Institutions, and Promoters.
Promoter 87.59%
Public 2.82%
Other Institutions 2.05%
FII 2.4%
Mutual Funds 5.13%
About ICICI Prudential Asset Management Co Ltd
ICICI Prudential Asset Management Company Limited was initially incorporated as `ICICI Asset Management Company Limited' as a Public Limited Company, dated June 22, 1993, with the ROC. Company changed the name from `ICICI Asset Management Company Limited' to `Prudential ICICI Asset Management Company Limited' via fresh certificate of incorporation dated March 26, 1998, issued by the ROC. Subsequently, the name of the Company was changed from `Prudential ICICI Asset Management Company Limited' to `ICICI Prudential Asset Management Company Limited', dated January 17, 2007, issued by the ROC.Since 1998, Company has been operating business as a joint venture between ICICI Bank Limited and Prudential Corporation Holdings Limited. Company is the investment manager to ICICI Prudential Mutual Fund. In addition to mutual fund business, it has a growing alternates business, across PMS, AIF and offshore businesses. The Company is involved in managing mutual funds, providing portfolio management services, managing alternative investment funds, and providing advisory services to offshore clients. It provide savings and investment products across multiple financial asset classes, structured to address a diverse spectrum of clients' objectives and risk appetites, from income accrual to long-term wealth creation.The Company manage the largest number of schemes in the mutual fund industry in India as of September 30, 2025, with 143 schemes comprising 44 Equity and Equity Oriented Schemes, 20 debt schemes, 61 passive schemes, 15 fund-of-fund domestic schemes, one liquid scheme, one overnight scheme, and one arbitrage scheme. There schemes such as ICICI Prudential Large Cap Fund, ICICI Prudential Multi Asset Fund, ICICI Prudential India Opportunities Fund, ICICI Prudential Value Fund and ICICI Prudential Asset Allocator Fund (FOF) are category leaders in terms of QAAUM, as of September 30, 2025.As of September 30, 2025, the ICICI Prudential India Opportunities Fund, ICICI Prudential Large Cap Fund, ICICI Prudential Asset Allocator Fund (FOF), ICICI Prudential Value Fund and ICICI Prudential Multi Asset Fund, were the leaders in their respective categories of sectoral/thematic, large cap, FOF (overseas/domestic) fund, value fund and multi asset fund, in terms of QAAUM as of September, 2025.Company launched the IPO, consisting an Offer for Sale by issuing 48,972,994 Equity Shares of Re 1 each and raised Rs 10602.65 Crore on December 16, 2025.The Company crossed Asset Under Management (AUM) of Rs 10,000 billion in July 2025. The Company established a wide network of 280 offices, which includes branches in Gujarat International Financial Services Centre (IFSC) - GIFT City. For the quarter ended March 2026, total Mutual fund QAAUM reached to Rs11,047.87 billion, thereby maintaining its position as the second-largest AMC with a market share of 13.5%. For quarter ended March 2026, Alternates QAAUM stood at Rs729.95 billion, which comprises Portfolio Management Service with QAAUM ofRs 268.27 billion rupees, Alternative Investment Fund with QAAUM of Rs 170.33 billion and Assets under advisory with QAAUM of Rs 291.34 billion.
Chairman / Nominee
Sandeep Batra
Registered office 12th Floor Narain Manzil, 23 barakhamba Road, New Delhi, New Delhi, 110001
FAX :022 2651 5000
Background
Incorporation Year 1993
Face Value ₹1.00
Market Lot 1
FAQs on ICICI Prudential Asset Management Co Ltd
How to buy ICICI Prudential Asset Management Co Ltd shares?
To buy ICICI Prudential Asset Management Co Ltd shares in Motilal Oswal, you just need to open a demat account and get your KYC documents verified.
What is the market cap of ICICI Prudential Asset Management Co Ltd?
The company has a market capitalization of ₹156,165.93.
What is the PE & PB ratio of ICICI Prudential Asset Management Co Ltd?
PE is 47 and PB is 37.695.
What is the ICICI Prudential Asset Management Co Ltd dividend for 2025–26?
For the 2025–26 financial year, ICICI Prudential Asset Management Co Ltd declared a final dividend of 0.86% per share.