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ICICI PRUDENTIAL ASSET MANAGEMENT CO SHARE PRICE

Sector Finance
BSE 544658
NSE ICICIAMC
3,249.00
-65.20 (-1.97 %)
Buy
B
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S
NSE BSE

Overview

1D 1W 1M 3M 6M 1Yr 3Yr 5Yr 10Yr Max
Price PE Ratio
 

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Day Low

3,240.00

Day High

3,380.00

52 Week Low

2,530.00

52 Week High

3,611.00

All Time Low

2,530.00

All Time High

3,611.00

Open

3,345.00

Close

3,314.20

Volume

451,485

Mkt cap (Cr)

160,584.75

P/E ratio

48.65

P/B ratio

38.50

Div yield

3.15%

6M return

0.00%

1Y return

25.64%

SWOT Analysis

  • S
  • W
  • O
  • T

Technical Analysis

Moving Averages

EMA SMA
 

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3,249.00 -1.97%

Current Price

Tech Pointer
  • Bullish Moving Averages
  • Bearish Moving Averages

Resistance and support

 

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Company Financials

  • Profit and loss statement
  • Balance sheet
  • Quarterly Result
  • Ratio
 

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Quick Results Snapshot

 

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Shareholding Pattern

Summary

 

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Historical Promoter Summary

 

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Promoter Holding(%)

Historical FII Holdings

 

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FII Holding(%)

Historical MF Holdings

 

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MF Holding(%)

Stocks Comparison
Table Chart

 

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Corporate Action

  • Announcement
  • Board Meeting
  • Dividend
  • Split
  • Rights
  • Events

Insider & Institutional Activity

  • Bulk Block Deals
  • Insider Trading & SAST
 

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About ICICI Prudential Asset Management Co Ltd

Stock PE (TTM)

48.65

Promoter Holding

87.59%

Book Value

84.3924

ROCE

115.1%

ROE

85.8%

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 of Rs 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.

ICICI Prudential Asset Management Co share price as on 06 Jun 2026 is Rs. 3249. Over the past 6 months, the ICICI Prudential Asset Management Co share price has increased by 0% and in the last one year, it has increased by 25.64%. The 52-week low for ICICI Prudential Asset Management Co share price was Rs. 2530 and 52-week high was Rs. 3611.

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Registered Office  
Registrars  
Management  
Listing Info  

544658

ICICIAMC

INE346A01027

Jun

ICICI Prudential Asset Management Co Ltd FAQs

You can buy ICICI Prudential Asset Management Co Ltd shares through a brokerage firm. ICICIdirect is a registered broker through which you can place orders to buy ICICI Prudential Asset Management Co Ltd Share.

Company share prices and volatile and keep changing according to the market conditions. As of Jun 05, 2026 03:58 PM the closing price of ICICI Prudential Asset Management Co Ltd was Rs.3,249.00.

The latest PE ratio of ICICI Prudential Asset Management Co Ltd as of Jun 05, 2026 03:58 PM is 48.65

The latest PB ratio of ICICI Prudential Asset Management Co Ltd as of Jun 05, 2026 03:58 PM is 38.50

The 52-week high of ICICI Prudential Asset Management Co Ltd share price is Rs. 3,611.00 while the 52-week low is Rs. 2,530.00

Market capitalization or market cap is determined by multiplying the current market price of a company's shares with the total number of shares outstanding. As of Jun 05, 2026 03:58 PM, the market cap of ICICI Prudential Asset Management Co Ltd stood at Rs. 160,584.75 Cr.

Market Outlook

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