← Back to Dashboard

ICICIPRULI ICICI Prudential Life Insurance Company Ltd. — Smart-Money Activity, F&O Buildup & Bulk Deals

Sector: Financial Services
₹ 515.00
+2.59%
1-year price · range ₹466–₹688

Smart Money Verdict synthesis of derivatives, deals, and promoter files

Derivatives signal Short Covering
Price rose (+2.8%) on short-covering (OI down -8.9%), suggesting a temporary relief bounce rather than new buyers.

ICICI Prudential Life Insurance Company Ltd. — Analysis as of 2026-07-07

Where the stock stands

ICICI Prudential Life Insurance Company Ltd. trades at ₹485.1, down 31.37% from its 52-week high of ₹706.8 and only 5.57% above its 52-week low of ₹459.5. The stock sits below both its 50-day and 200-day simple moving averages, with neither a golden cross nor death cross currently in place. Over the past year, the stock has declined 26.58%, though it has eked out a 0.38% gain over the past month. The 14-day RSI reads 43.5, placing it in neutral territory, while relative volume at 0.64 indicates quieter-than-average trading activity. The company commands a market capitalisation of ₹70,567 crore, with a price-to-earnings ratio of 44.01 and price-to-book of 5.18. Return on equity stands at 12.6%, and the dividend yield is 0.34%.

What the smart-money flow shows

The derivatives data reveals a short buildup — fresh futures positions opened as the price fell — with open interest rising 4.38% while the price slipped 0.14%. This pattern typically indicates bearish positioning by market participants. The data shows no named bulk or block deals, no institutional buying or selling streaks, and no recent insider filings. Without these additional footprints, the F&O positioning remains the clearest signal of informed money sentiment, and that signal currently points toward cautious or negative positioning.

The technical picture

The stock's technical posture is weak but not oversold. Trading below both key moving averages suggests the intermediate and long-term trends remain under pressure. The 43.5 RSI offers no decisive momentum signal, and the subdued relative volume indicates limited conviction in either direction. The proximity to 52-week lows — just 5.57% away — marks a critical technical zone that has held since the broader decline began. A close below ₹459.5 would break this support, while any recovery faces layered resistance at the moving averages above.

Catalysts and what to watch

Three resignation announcements have hit the exchange in quick succession: NSE filings on 6 July and 7 July disclosed departures of directors including Mr Naveen Tahilyani as Non-Executive Director. These carry a bearish bias in the data classification. News flow includes a Business Standard report from 14 hours ago stating ICICI Pru Life may become ICICI Life as Prudential seeks reclassification, and an NDTV Profit headline from 18 days ago noting the promoter aims to retain a 21.9% stake. A TradingView headline from 34 days ago mentioned a tax demand of ₹51.2 million rupees, while Business Today reported a 9% share price fall 49 days ago following a Bharti Life deal. What the data does not establish is whether the resignation cluster signals deeper governance concerns, whether the reclassification will proceed, or whether institutional interest will return at current levels. The absence of insider buying, institutional streaks, or named block deals leaves the near-term catalyst picture dependent on these unfolding corporate developments and any subsequent exchange disclosures.

Written from the exchange and price data shown on this page — F&O positioning, deals, insider filings, catalysts, technicals and valuation. Updated 2026-07-07. Data-driven analysis, not investment advice.

F&O Positioning EOD derivatives setup

Buildup Class
Short Covering
bias: bullish
Futures OI
17,265,125
-1689050 (-8.9%)
Option PCR (OI)
0.72
neutral option setup
Max Pain Strike
₹ 505
writer loss minimized strike

Quote Details key metrics & weights

Previous Close
₹ 502.00
yesterday's EOD close
Index Contribution
not a Nifty 50 constituent
Traded Volume
1,609,364
live shares traded today
Upcoming Earnings
no report scheduled

Technical Snapshot from 400 sessions of price history

RSI (14)
57.1
neutral momentum
52-Week High
₹ 706.80
-27.1% from high
52-Week Low
₹ 459.50
+12.1% above low
200-DMA
₹ 571.56
-9.9% · below trend
50-DMA
₹ 502.21
+2.5% from 50-DMA
1-Year Return
-18.7%
1M +2.7%

Key Fundamentals headline ratios · Financial Services

P/E (TTM)
44.2
price / earnings
P/B
5.5
price / book
ROE
12.6%
return on equity
Market Cap
₹ 74,662 Cr
total market value
Dividend Yield
0.32%
trailing yield
EPS (TTM)
₹ 11.64
earnings per share

Fundamental ratios sourced from public market data, refreshed periodically; verify against company filings before relying on them.

Institutional Deals last 30 sessions (bulk & block)

No institutional bulk or block deals recorded for this stock in the last 30 sessions.

Insider & Promoter Filings last 60 days

No insider disclosures filed for this stock in the last 60 days.

Option Chain Ladder nearest expiry 2026-08-25 · spot 515 · EOD 2026-08-21

Option writers expect range between 500 and 525+1.9% upside, -2.9% downside.
downside-skewed
Call OI (writers) Strike Put OI (writers)
0
485
209,975 -108k
81,400 -19k
IV 57% Δ 0.81 θ -1.1 ν 0
490
173,900 -2k
85,100 -5k
IV 36% Δ 0.86 θ -0.6 ν 0
495
111,000 -23k
387,575 -92k
IV 38% Δ 0.78 θ -0.8 ν 0
500 S
468,050 -122k
130,425 -30k
IV 29% Δ 0.75 θ -0.7 ν 0
505 MP
287,675 +155k
IV 19% Δ -0.15 θ -0.3 ν 0
148,925 -370k
IV 25% Δ 0.66 θ -0.7 ν 0
510
248,825 +37k
IV 15% Δ -0.26 θ -0.3 ν 0
111,925 -152k
IV 21% Δ 0.52 θ -0.6 ν 0
515
114,700 +22k
IV 13% Δ -0.48 θ -0.3 ν 0
676,175 -307k
IV 19% Δ 0.33 θ -0.5 ν 0
520
150,775 -48k
IV 9% Δ -0.82 θ -0.1 ν 0
786,250 +462k
IV 18% Δ 0.16 θ -0.3 ν 0
525 R
13,875 +3k
504,125 -247k
530
20,350 -8k
IV 15% Δ -0.96 θ +0.0 ν 0
59,200 +2k
535
10,175
IV 79% Δ -0.66 θ -1.9 ν 0
72,150 -21k
540
396,825 -10k
IV 26% Δ -0.96 θ -0.1 ν 0
7,400 -3k
545
4,625 -3k

Chain Interpretation

Spot Underlying 515.00
Key Resistance (R) 525
Key Support (S) 500
Max Pain Strike (MP) 505
Concentrations of Option open interest show strong barrier levels. Option writers defend these levels, especially heading into monthly derivatives expiry.

Strategy Builder multi-leg payoff for ICICIPRULI options · 2026-08-25 expiry

Underlying: ICICIPRULI · Spot: ₹ 515.00 · Expiry: 2026-08-25 · Lot: 925

Legs

Side
Type
Strike
Qty
Premium
Net premium
Max profit
Max loss
Breakevens
Position Delta
Position Theta/day
Position Vega/1% IV

Payoff at expiry

Latest News recent coverage from Reuters, Simply Wall St, MT Newswires and others

ICICIPRULI — frequently asked questions

What is the ICICI Prudential Life Insurance Company Ltd. share price today?

ICICIPRULI is trading at ₹515.00 (+2.59% vs previous close), per the latest update on this page.

What is the P/E ratio of ICICI Prudential Life Insurance Company Ltd.?

ICICIPRULI (ICICI Prudential Life Insurance Company Ltd.) has a trailing twelve-month P/E ratio of 44.2.

What is the market cap of ICICI Prudential Life Insurance Company Ltd.?

ICICIPRULI has a market capitalisation of approximately ₹74,662 crore.

What is the ROE of ICICI Prudential Life Insurance Company Ltd.?

ICICIPRULI has a return on equity (ROE) of about 12.6%.

Is ICICIPRULI near its 52-week high?

ICICIPRULI is trading -27.1% from its 52-week high of ₹706.80 as of 2026-08-21.

What is the RSI of ICICIPRULI?

The 14-day RSI of ICICIPRULI is 57.1, which is considered neutral.

Is ICICIPRULI above its 200-day moving average?

ICICIPRULI is trading below its 200-DMA of ₹571.56 (-9.9% away).

What is the F&O buildup in ICICIPRULI?

The latest end-of-day derivatives data classifies ICICIPRULI as Short Covering (bias: bullish), based on the day's combined price and open-interest change.

What is the max pain and PCR for ICICIPRULI options?

ICICIPRULI's option-chain max pain strike is ₹505 and its put-call ratio (OI) is 0.72, from the latest end-of-day option chain.

Are FIIs or big investors buying ICICIPRULI?

Strota tracks every bulk and block deal in ICICIPRULI with named buyers and sellers, plus promoter and insider filings — the tables on this page list the most recent institutional activity as disclosed to the exchanges.