Add to watch list to get report alerts (Download annual financial reports) BSE Code: 532174 NSE Code: ICICIBANK Business Profile ICICI Bank was promoted in 1994 by ICICI, an Indian development financial institution. The two entities subsequently merged to become the largest commercial bank in the...
ICICI Bank Limited (IBN) - 6-K - Report of Foreign IssuerSEC FilingsTue, Jan. 28 See All SEC Filings » Press Releases IBN Income Statement IBN Balance Sheet IBN Cash Flow Statement IBN Long Term Solvency Total Debt / Equity (MRQ) - Total Debt / Capital (MRQ) - LT Debt / Equity ...
Go to report Marlene Greenfield Vice President, Hearst Magazines Statistics on"HDFC Group" Overview HDFC Bank HDFC Ergo and HDFC Life HDFC - other businesses Banking competitors Insurance competitors The most important statistics Leading private banks in India 2024, by asset ...
Morningstar® Benchmark Not Categorized Used throughout report Fund Benchmark Crisil Low Duration Debt TR INR TRAILING RETURNS (%) FUND CATEGORY 3M 1.95 1.61 6M 3.49 2.99 1Y 7.97 6.64 3Y* 5.84 5.15 5Y* 6.61 5.02 10Y* 7.46 5.65 *Annualised Return Data Through 18/03/2024QUARTE...
*Annualised Return Data Through 14/03/2024QUARTERLY RETURNS (%) Q1 Q2 Q3 Q4 2024 - - - - 2023 -1.11 9.03 8.54 9.59 2022 4.54 -5.01 7.03 5.08 2021 11.26 9.79 15.20 0.70 2020 -24.31 16.32 1.79 21.58 RISK MEASURES 3Y Alpha 9.45 3Y Beta 0.92 3Y R-Squared 73.45 3Y Info ...
The report refers to WhatsApp as saying that Paragon Solutions – an Israeli software company known for manufacturing hacking softwares – was behind the attack, and that it was not clear how long the affected users had been under threat. ...
*Annualised Return Data Through 15/03/2024QUARTERLY RETURNS (%) Q1 Q2 Q3 Q4 2024 - - - - 2023 -5.41 13.91 1.75 7.51 2022 -0.62 -7.36 13.07 7.53 2021 9.13 11.71 6.43 -4.85 2020 -41.75 15.72 5.34 33.05 RISK MEASURES 3Y Alpha 2.40 3Y Beta 0.85 3Y R-Squared 86.06 3Y Info...
*Annualised Return Data Through 15/03/2024QUARTERLY RETURNS (%) Q1 Q2 Q3 Q4 2024 - - - - 2023 2.06 12.00 1.00 6.78 2022 1.31 2.09 12.54 1.65 2021 2.80 5.67 12.96 -2.60 2020 -15.17 11.77 -0.30 16.10 RISK MEASURES 3Y Alpha 4.15 3Y Beta 0.74 3Y R-Squared 88.01 3Y Info Ra...
Morningstar® Benchmark Not Categorized Used throughout report Fund Benchmark CRISIL Ultra Short Duration Debt TR INR TRAILING RETURNS (%) FUND CATEGORY 3M 1.87 1.59 6M 3.49 3.03 1Y 7.26 6.40 3Y* 5.45 5.04 5Y* 6.05 4.96 10Y* 7.87 5.62 *Annualised Return Data Through 18/03/...
*Annualised Return Data Through 15/03/2024QUARTERLY RETURNS (%) Q1 Q2 Q3 Q4 2024 - - - - 2023 -3.44 11.51 7.90 11.85 2022 1.17 -5.38 10.35 5.74 2021 10.23 11.16 17.03 -1.11 2020 -30.26 19.80 7.89 23.94RISK MEASURES 3Y Alpha 7.79 3Y Beta 0.83 3Y R-Squared 77.44 3Y Info...