Sector: Banking and Finance
|Large Cap
Crisil Ltd.
₹4,083
Invest in CRISIL with up to 2.86x margin.
Trade with MTF₹4071.10
₹4121.00
₹3686.00
₹6139.00
Markets Today
Historical Performance
Indicator | Mar 2026 | Dec 2025 | Sep 2025 | Jun 2025 | Mar 2025 |
|---|---|---|---|---|---|
| Total Revenue | 474.64 | 511.76 | 453.17 | 430.74 | 400.56 |
| Operating Expense | 475.02 | 421.06 | 388.14 | 346.17 | 339.50 |
| Operating Profit | -0.38 | 90.70 | 65.03 | 84.57 | 61.06 |
| Depreciation | 19.91 | 18.84 | 19.79 | 19.61 | 19.26 |
| Interest | 5.70 | 4.43 | 5.13 | 4.99 | 4.89 |
| Tax | 14.85 | 24.80 | 24.23 | 22.05 | 21.25 |
| Net Profit | 113.42 | 153.42 | 137.39 | 194.31 | 130.12 |
₹4083.00
↗ Bullish Moving Average
11
↘ Bearish Moving Average
5
CRISIL Limited, with its corporate operations in Mumbai, functions as an analytical company providing ratings, research, and risk and policy advisory services in India. The company offers services including credit ratings for corporates and banks, equity and industry research, data services, and risk management solutions. CRISIL has a substantial reach with operations spread across multiple countries, including the United States, United Kingdom, Argentina, China, Poland, Singapore, and Australia . The company also has a presence in international markets through its global analytical centres.
CRISIL share price on NSE and BSE signifies how market participants react to the company’s operational performance and the overall developments in the financial services sector. The company’s financial health depends on factors like ratings business volume, research subscription renewals, advisory project wins, and the company’s ability to manage operational costs. CRISIL stock price gets influenced by various factors such as earnings reports, changes in regulatory policies affecting credit rating agencies, and trends in capital market activity. In the longer run, strategies like expansion of research services, new product development, and geographic diversification affect the stock market sentiments. All these factors need monitoring to have an idea about the company’s stock price movements.
CRISIL live share price provides real-time information about the last price traded, bid and ask prices, and volume traded. These indicators represent market activity and liquidity, reflecting investor response to corporate announcements, economic conditions, and sector news. Constant monitoring of the CRISIL stock price movements helps in observing short term price volatility and shows how a stock moves relative to the broader financial services index. Furthermore, monitoring CRISIL live price helps investors understand real-time market sentiment, price fluctuations, and trading behaviour. It allows them to evaluate short-term performance and respond to news, quarterly results, or sector trends that may influence the company’s valuation.
CRISIL Limited was incorporated in 1987 as Credit Rating Information Services of India Limited to establish an independent credit rating framework in India, supported by major financial institutions and banks. Initially focused on developing analytical credibility in domestic debt markets, CRISIL played a foundational role in formalizing credit rating practices in the country. Over the mid‑1990s, the company entered a strategic alliance with Standard & Poor’s that helped strengthen its methodologies and global analytical standards. In 2003, the company rebranded as CRISIL Limited to reflect its broader scope beyond credit ratings. Over the years, CRISIL has diversified its operations into research, analytics, data services and advisory offerings, evolving into a global insights‑driven analytics company serving financial institutions, corporates, investors and policymakers across multiple geographies. Today, CRISIL’s capabilities span credit ratings, ESG analytics, benchmarking, research and advanced data solutions.
CRISIL operates globally with offices, delivery centres and partnerships across multiple regions including:
(These locations reflect CRISIL’s global footprint through its analytics, benchmarking, ESG and research businesses.)
The global financial analytics, credit rating and risk advisory industry is evolving with increased regulatory requirements, complexity in capital markets, and rising demand for data‑driven insights. Regulatory frameworks (e.g., Basel norms), ESG disclosure standards, and advanced risk modelling have heightened the need for independent analytical services. Technological advancements in AI, machine learning and big data are reshaping how credit assessments, portfolio monitoring and risk reporting are conducted. As financial markets globalize, demand for sophisticated analytics and benchmarking services continues to rise among banks, asset managers and corporate entities seeking deeper insights and transparency
CRISIL Limited is listed on the National Stock Exchange (NSE) and the Bombay Stock Exchange (BSE). CRISIL share price is available for trading on the NSE under the symbol CRISIL and on the BSE with the scrip code 500092 . The company’s market presence is primarily within the mid-cap to large-cap segment of the market. Due to its size and sector focus, CRISIL stock price is generally tracked by investors interested in the credit rating and financial services industry.
CRISIL is part of several broad-based and sector-specific stock market indices, reflecting its position as a mid-cap financial services company in India. CRISIL share price is a constituent of benchmark indices such as the Nifty 500, which tracks a large universe of listed companies across sectors . The company is also included in the Nifty Midcap 150, Nifty MNC, and BSE Financial Services indices . In addition, the company is included in multiple BSE indices, including the BSE 500, BSE MidCap, BSE AllCap, and broader composite indices, which capture companies across large, mid, and small-cap segments .
CRISIL share price on NSE reflects its status as an analytical company providing ratings and research services in India. Performance gets driven by factors like ratings outstanding volume, research subscription growth, advisory project pipeline, and the company’s ability to manage operational costs effectively. Investors compare CRISIL share price today with other rating agencies and financial information companies to gauge relative performance within the sector.
These underlying factors often appear through real market movements across different periods. Broader sector strength has played a role in supporting CRISIL share price. In addition to operational and sector-led factors, corporate actions such as dividend announcements can also have a significant impact on CRISIL share price movements in the short term. The company has regularly paid dividends to shareholders, showing its ability to reward them . The company also announced a bonus issue in the past, which increased the total number of outstanding shares . This shows how corporate actions can trigger short-term swings, even within a regulated financial services framework influenced by market cycles and regulatory policies.
While short-term movements reflect events and announcements, longer-term valuation trends become visible through CRISIL share price 52-week high and low, providing context beyond daily or weekly changes. Highs indicate strong business demand and stable margins, while lows align with market corrections or sector volatility . These levels capture the impacts of regulatory changes, capital market activity, and earnings visibility, providing context for the stock’s historical performance.
CRISIL stock performance reflects the trading behaviour of a mid-cap financial services company operating within India’s regulated market infrastructure. The company’s diversified portfolio across ratings, research, and advisory has shaped its CRISIL share price history. Over time, the stock has shown long-term wealth creation, marked by periods of gains and phases of consolidation. The company completed a significant business restructuring in 2020, transferring its ratings business to a wholly owned subsidiary, CRISIL Ratings Limited . The company also acquired Greenwich Associates in 2019, a provider of proprietary benchmarking data and analytics to financial services firms worldwide .
CRISIL stock performance over time has closely followed India’s economic growth and capital market activity cycles. For instance, the company’s focus on research and analytics has been viewed favourably. Over longer investment horizons, the stock has delivered movements that highlight consistent business expansion aligned with increasing demand for ratings and data services. The stock has seen periods of significant outperformance compared to the broader market, while also facing intermittent periods of consolidation due to changes in regulatory frameworks for rating agencies.
Despite the disruptions caused by the COVID-19 pandemic, CRISIL shares showed resilience. While the broader economy faced challenges with business closures and market volatility, the company’s focus on essential financial infrastructure services and its global delivery model helped the stock retain value. Prudent management and a strong brand reputation across its client base kept shares stable amid the pandemic’s challenges and market volatility. The company continued to serve clients through its digital platforms, and its analytical centres remained operational during lockdowns.
CRISIL share price has seen decreases due to several recurring reasons. A decline in capital market activity or a slowdown in corporate bond issuances directly impacts ratings revenue and leads to selling pressure. Changes in government policy, such as regulatory changes affecting credit rating agencies or modifications in listing requirements, can also cause the stock to fall. Furthermore, any increase in operational costs like employee expenses or technology investments without a matching rise in revenue squeezes the company’s margins, making the stock less attractive. Periods of economic slowdown that reduce corporate borrowing raise concerns about business volumes, leading to a drop in CRISIL share price. The stock is also sensitive to competitive intensity in the ratings and research space; if rival firms gain market share, it can lead to a decrease in CRISIL stock price as investors adjust expectations for future profitability. Broader market sell-offs in mid-cap stocks also pull the price down, regardless of the company’s individual performance. A decrease in research subscription renewals or lower advisory project wins directly hurts the company’s revenue, resulting in a lower valuation for CRISIL share price.
CRISIL is a holding in financial services and mid-cap portfolios, offering exposure to credit ratings, research, data, and risk advisory services. Inclusion in financial services indices underscores its importance in India’s ratings and analytics space. The company’s diversified business model, strong brand presence in India, and growing international footprint make it a consideration for long-term allocations.
CRISIL equity is held by a broad mix of domestic and international institutional investors, reflecting its standing in India’s financial services sector. Promoter holding remains stable at around sixty six percent, with S&P Global Inc. as the majority owner . Prominent mutual fund holders include SBI Midcap Fund and Kotak Large & Midcap Fund . Other institutional investors include Life Insurance Corporation of India, General Insurance Corporation of India, and various foreign portfolio investors . This broad investor base with institutional participation underscores the company’s role as a holding in both domestic and global portfolios focused on financial information and analytics.
Beyond fundamentals and ownership, CRISIL share price is actively monitored in derivatives markets. The stock is available for trading in the futures and options segment on the NSE, allowing investors to take positions based on their outlook for the financial services sector. Market participants watch derivative indicators such as open interest and rollover patterns to gauge sentiment around quarterly results and policy announcements.
Technical indicators such as RSI, MACD, and MFI provide additional insight into short-term momentum shifts in the company’s stock price. While these indicators are primarily used for near-term trading decisions, they also help investors and portfolio managers understand broader market sentiment and anticipate potential volatility, especially around key events or announcements.
CRISIL stock price has exhibited certain volatility patterns. CRISIL beta has generally remained at levels reflecting its position as a mid-cap financial services stock with strong institutional participation and business fundamentals tied to the economic cycle. The beta has been relatively low, indicating less sensitivity to overall market movements . Over shorter timeframes, the stock has shown relatively lower volatility compared to the broader market. During the three-month period, this sensitivity appears more balanced, suggesting a stable trading pattern. Across longer durations, the beta trends in a manner indicating continued stability and a lower correlation with overall market fluctuations . This behaviour is typical for companies in the financial information services sector with recurring revenue models. Overall, these variations across different timeframes highlight that while CRISIL may experience short-term fluctuations, its longer-term volatility remains relatively stable compared to the broader market.
CRISIL sector relevance stems from its scale in credit ratings and its strong presence in research and analytics services. Peer comparisons with companies like ICRA, CARE Ratings, India Ratings and Research, and Brickwork Ratings focus on ratings outstanding, market share, research capabilities, and geographical presence rather than short-term stock moves . These benchmarks help investors assess operational scale, efficiency, and regulatory adherence. Institutional tracking of capital market activity, corporate bond issuances, and regulatory changes further highlights CRISIL positioning within India’s broader financial information and analytics market.
CRISIL market cap history shows the company’s position within the financial services sector. Earlier in its history, the market capitalization grew steadily as the company established itself as the premier rating agency in India. The company’s focus on research and analytics and its strategic alliance with Standard & Poor’s contributed to a re-evaluation by the market. This transition from a pure rating agency to a diversified analytics company has been a key factor in how the company’s overall valuation has evolved over time .
CRISIL earnings history demonstrates the impact of its strategic business decisions. In earlier periods, earnings reflected the cyclical nature of the ratings business with exposure to economic downturns and capital market activity. As the company expanded its research and analytics portfolio, earnings patterns showed greater stability. The company’s focus on recurring revenue from research subscriptions and data services contributed to changes in its earnings profile over the years. More recently, earnings have shown steady performance, supported by the diversified business model.
CRISIL EPS provides insight into its operational performance and income generation from ratings, research, and advisory services. Over the years, earnings per share have shown variation in line with the company’s business cycle and industry conditions. The shift toward higher-margin research and analytics services and the expansion of international operations have influenced the EPS trajectory . Quarterly performance reflects the ongoing earnings from both domestic and international operations, with the ratings business contributing to the overall per-share earnings picture.
CRISIL P/E ratio reflects how investors perceive the company’s earnings relative to its business model. In earlier years, the ratio remained at premium levels, indicating high market expectations based on the company’s dominant market position and consistent earnings growth. As the company diversified its revenue streams and expanded globally, the valuation has remained at elevated levels . The ratio has moved in response to how investors view the company’s prospects in areas like data analytics and risk solutions. These changes highlight how market sentiment has evolved alongside the company’s business transformation.
CRISIL Limited provides credit ratings, research, data, and risk advisory services to financial markets. CRISIL share price on the NSE and BSE reflects trading activity within the financial information services industry. The company has a notable presence in both domestic and international markets. CRISIL stock price is influenced by capital market activity, regulatory changes, economic cycles, and broader financial sector trends. The company’s focus on analytics and diversified revenue remains a key aspect of its business profile.
| Held By | Dec 2024 | Mar 2025 | Jun 2025 | Sep 2025 | Dec 2025 | Mar 2026 |
|---|---|---|---|---|---|---|
| Promoter | 66.6 | 66.6 | 66.6 | 66.6 | 66.6 | 66.6 |
| FII | 7.6 | 7.7 | 8.1 | 7.8 | 7.7 | 7.2 |
| DII | 12.6 | 12.4 | 12 | 12.2 | 12.1 | 12.6 |
| Public | 13.1 | 13.3 | 13.2 | 13.4 | 13.6 | 13.6 |
| Period | Combined Delivery Volume | NSE+BSE Traded Volume Avg | Daily Avg Delivery Volume % |
|---|---|---|---|
| Day | 33.88 K | 56.38 K | 60.08% |
| Week | 23.74 K | 44.44 K | 53.42% |
| 1 Month | 45.51 K | 73.72 K | 61.73% |
| 6 Month | 41.13 K | 69.97 K | 58.79% |
Positive Breakout Third Resistance ( LTP > R3)
Companies with no Debt
Benjamin Graham Value Screen
Buy Zone: Stocks in the buy zone based on days traded at current PE and P/BV
Mid-range Performer (DVM)
Relative Outperformance versus Industry over 1 Month
Companies with high TTM EPS Growth
Annual Profit Growth higher than Sector Profit Growth
PEG lower than Industry PEG
Good quarterly growth in the recent results
Relative Outperformance versus Industry over 1 Week
Relative Outperformance versus Industry over 1 Month
Growth in Quarterly Net Profit with increasing Profit Margin (YoY)
Annual Net Profits improving for last 2 years
Book Value per share Improving for last 2 years
Companies with Zero Promoter Pledge
Top Gainers
Ex-Date | Dividend Amount | Dividend Type | Record Date | Instrument Type |
|---|---|---|---|---|
| 23 Apr, 2026 | 9 | INTERIM | 23 Apr, 2026 | Equity Share |
| 02 Apr, 2026 | 28 | FINAL | 03 Apr, 2026 | Equity Share |
| 27 Oct, 2025 | 16 | INTERIM | 27 Oct, 2025 | Equity Share |
| 28 Jul, 2025 | 9 | INTERIM | 28 Jul, 2025 | Equity Share |
| 07 May, 2025 | 8 | INTERIM | 07 May, 2025 | Equity Share |
| 11 Apr, 2025 | 26 | FINAL | 14 Apr, 2025 | Equity Share |
| 30 Oct, 2024 | 15 | INTERIM | 30 Oct, 2024 | Equity Share |
| 31 Jul, 2024 | 8 | INTERIM | 31 Jul, 2024 | Equity Share |
| 03 May, 2024 | 7 | INTERIM | 03 May, 2024 | Equity Share |
| 28 Mar, 2024 | 28 | FINAL | Equity Share |
Financials | ||||||
|---|---|---|---|---|---|---|
| Price (₹) | ₹3,314.60 | ₹190 | ₹1,962 | ₹303.60 | ₹664.70 | ₹4,457.70 |
| % Change | 2.63% | 1.18% | 0.13% | 1.30% | 1.59% | -0.80% |
| Revenue TTM (₹ Cr) | ₹5,764.63 | ₹4,644.58 | ₹11,852.49 | ₹31,537.53 | ₹18,429.70 | ₹9,507.57 |
| Net Profit TTM (₹ Cr) | ₹3,298.26 | ₹2,082.99 | ₹1,504.31 | ₹4,846.10 | ₹2,543.60 | ₹2,057.67 |
| PE TTM | 47.00 | 56.80 | 29.00 | 26.30 | 22.00 | 24.20 |
| 1 Year Return | 44.91 | 88.5 | 71.28 | -7.79 | -9 | -12.04 |
| ROCE | - | 29.35 | 21.82 | 46.65 | 55.24 | 14.02 |
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