Note: This company is no longer actively listed. Financial data shown is historical.
Key market metrics for ICICI Securities (ISEC) listed on NSE. For miscellaneous sector companies, these metrics provide a snapshot of ICICI Securities's market valuation and enterprise value, essential for comparing against intrinsic value estimates.
We analyze ICICI Securities using multiple valuation models appropriate for MISCELLANEOUS companies. For MISCELLANEOUS companies, we use P/E Ratio Analysis, Discounted Cash Flow (DCF), and EPS Growth Valuation to determine fair value estimates for ICICI Securities stock.
10-year Price-to-Earnings ratio trend
Current P/E Ratio
27.09
Mar 21, 2025
5-Year Median P/E
21.53
5-Year Historical Median
Difference
5.56
25.8%
Analysis: ICICI Securities's current P/E ratio is 25.8% above its 5-year median, suggesting the stock may be overvalued relative to its historical earnings performance.
The P/E ratio measures how much investors pay for each rupee of earnings (Share Price / EPS). A higher PE suggests the market expects strong future growth, while a lower PE may indicate undervaluation or slower growth prospects. Compare ICICI Securities's current PE against its historical median and MISCELLANEOUS peers to gauge whether the stock is trading at a premium or discount relative to its earnings.
Go beyond charts — get fair value estimates from multiple valuation models and detailed assessment breakdowns.
Just ₹833/month
Data from audited consolidated filings. For educational purposes only — not investment advice. Last update: FY 2021