av/icici-bank--big.svg

NYSE:IBN

ICICI Bank Limited

  • Stock

USD

Last Close

1,130.75

21/05 10:00

Market Cap

7.13T

Beta: 0.70

Volume Today

10.45M

Avg: 5.19M

PE Ratio

16.81

PFCF: 1,378.58

Dividend Yield

0.01%

Payout:0%

Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
156.51B
-
176.44B
12.73%
135.57B
23.16%
126.57B
6.64%
95.91B
24.23%
59.73B
37.72%
169.29B
183.42%
240.49B
42.05%
335.68B
39.58%
458.30B
36.53%
442.56B
3.43%
depreciation and amortization
8.42B
-
9.10B
8.13%
9.57B
5.10%
10.44B
9.17%
10.39B
0.51%
10.45B
0.61%
13.70B
31.02%
14.71B
7.43%
14.79B
0.55%
16.46B
11.23%
19.96B
21.29%
deferred income tax
-48.36B
-
-53.06B
9.72%
-99.89B
88.27%
-116.44B
16.57%
-65.88B
43.42%
-83.48B
26.72%
-2.11B
97.47%
-60.75B
2,777.47%
-31.55B
48.06%
-82.24B
160.65%
stock based compensation
120.37M
-
94.43M
21.55%
142.31M
50.70%
180.90M
27.12%
131.13M
27.51%
79.43M
39.43%
114.10M
43.66%
77.60M
31.99%
2.67B
3,339.69%
5.18B
94.08%
change in working capital
-76.42B
-
-296.54B
288.06%
70.99B
123.94%
349.14B
391.81%
-6.96B
101.99%
298.90B
4,392.05%
482.65B
61.48%
1.02T
111.31%
175.17B
82.82%
-490.89B
380.23%
321.71B
165.54%
accounts receivables
inventory
accounts payables
other working capital
-76.42B
-
-296.54B
288.06%
70.99B
123.94%
349.14B
391.81%
-6.96B
101.99%
298.90B
4,392.05%
482.65B
61.48%
1.02T
111.31%
175.17B
82.82%
-490.89B
380.23%
-1.29T
163.52%
other non cash items
27.37B
-
41.23B
50.63%
120.07B
191.19%
156.46B
30.31%
160.24B
2.42%
201.03B
25.45%
132.00B
34.33%
165.72B
25.54%
84.35B
49.10%
55.48B
34.23%
113.89B
105.27%
net cash provided by operating activities
67.65B
-
-122.73B
281.43%
236.45B
292.66%
526.36B
122.60%
193.83B
63.18%
486.71B
151.10%
795.65B
63.47%
1.38T
73.46%
581.11B
57.89%
-37.71B
106.49%
858.21B
2,375.68%
investments in property plant and equipment
-8.37B
-
-12.45B
48.64%
-8.48B
31.84%
-13.17B
55.20%
-10.42B
20.85%
-11.48B
10.17%
-18.73B
63.17%
-16.88B
9.89%
-18.60B
10.17%
-24.68B
32.67%
-36.79B
49.07%
acquisitions net
468.83M
-
255.37M
45.53%
121.65M
52.36%
1.17B
865.40%
2.87B
144.74%
698.90M
75.68%
purchases of investments
-290.46B
-
-719.92B
147.85%
-613.11B
14.84%
-542.47B
11.52%
-816.54B
50.52%
-1.42T
74.30%
sales maturities of investments
33.46B
-
719.66B
2,050.58%
90.48B
87.43%
541.30B
498.26%
813.66B
50.32%
167.36B
79.43%
other investing activites
-158.30B
-
-116.87B
26.17%
-109.71B
6.13%
-2.89B
97.37%
-495.31B
17,037.42%
-33.46B
93.24%
-404.35B
1,108.32%
-90.48B
77.62%
-374.61B
314.04%
-655.38B
74.95%
-1.42T
117.05%
net cash used for investing activites
-166.68B
-
-129.32B
22.41%
-118.19B
8.60%
-16.06B
86.41%
-505.73B
3,049.54%
-301.47B
40.39%
-423.08B
40.34%
-629.87B
48.88%
-393.21B
37.57%
-680.05B
72.95%
-3.07T
352.11%
debt repayment
-271.34B
-
-319.71B
17.83%
-508.08B
58.92%
-404.34B
20.42%
-304.16B
24.78%
-520.01B
70.96%
-527.73B
1.49%
-346.03B
34.43%
-268.92B
22.28%
-181.92B
32.35%
common stock issued
761.82M
-
3.48B
356.45%
2.82B
18.78%
1.77B
37.24%
3.94B
122.25%
3.49B
11.50%
5.49B
57.57%
154.60B
2,714.39%
7.98B
94.84%
9.42B
18.06%
11.71B
24.29%
common stock repurchased
-654.53B
-
-680.16B
3.92%
-976.21B
-
-935.17B
4.20%
dividends paid
-27.04B
-
-30.84B
14.05%
-34.52B
11.95%
-34.23B
0.85%
-17.16B
49.87%
-11.69B
31.89%
-8.86B
24.16%
-13.85B
-
-34.79B
151.18%
-55.99B
60.90%
other financing activites
105.00B
-
546.98B
420.92%
409.55B
25.12%
185.84B
54.62%
814.32B
338.18%
766.92B
5.82%
1.23T
60.83%
-173.53B
114.07%
1.50T
965.89%
1.48T
1.68%
2.52T
70.78%
net cash used provided by financing activities
78.72B
-
248.27B
215.37%
58.14B
76.58%
-354.70B
710.08%
396.76B
211.86%
-199.97B
150.40%
29.92B
114.96%
-546.67B
1,926.99%
174.51B
131.92%
247.91B
42.06%
2.47T
895.36%
effect of forex changes on cash
9.18B
-
-2.43B
126.52%
-2.41B
0.92%
-1.05B
56.31%
228.11M
121.65%
-1.35B
690.24%
2.14B
258.58%
-6.44B
401.62%
-1.27B
80.30%
3.16B
349.36%
4.23B
33.87%
net change in cash
-11.13B
-
-6.21B
44.18%
173.99B
2,901.48%
154.55B
11.17%
85.08B
44.95%
-16.08B
118.90%
404.62B
2,615.92%
197.18B
51.27%
355.55B
80.32%
-466.69B
231.26%
263.12B
156.38%
cash at beginning of period
493.71B
-
482.58B
2.25%
476.37B
1.29%
650.36B
36.52%
804.91B
23.76%
889.99B
10.57%
873.91B
1.81%
1.28T
46.30%
1.48T
15.42%
1.83T
24.09%
1.36T
25.48%
cash at end of period
482.58B
-
476.37B
1.29%
650.36B
36.52%
804.91B
23.76%
889.99B
10.57%
873.91B
1.81%
1.28T
46.30%
1.48T
15.42%
1.83T
24.09%
1.36T
25.48%
1.63T
19.28%
operating cash flow
67.65B
-
-122.73B
281.43%
236.45B
292.66%
526.36B
122.60%
193.83B
63.18%
486.71B
151.10%
795.65B
63.47%
1.38T
73.46%
581.11B
57.89%
-37.71B
106.49%
858.21B
2,375.68%
capital expenditure
-8.37B
-
-12.45B
48.64%
-8.48B
31.84%
-13.17B
55.20%
-10.42B
20.85%
-11.48B
10.17%
-18.73B
63.17%
-16.88B
9.89%
-18.60B
10.17%
-24.68B
32.67%
-36.79B
49.07%
free cash flow
59.27B
-
-135.18B
328.05%
227.97B
268.64%
513.19B
125.11%
183.41B
64.26%
475.23B
159.11%
776.91B
63.48%
1.36T
75.47%
562.51B
58.74%
-62.39B
111.09%
821.42B
1,416.62%

All numbers in USD (except ratios and percentages)