Risk Analysis

ICICIPRULI Risk & Volatility Profile

Based on 736 days of price history. Factual statistics, no recommendations.

Annualised Volatility

25.0%

Moderate volatility

Max Drawdown

-36.3%

378 days peak-to-trough

Beta vs Nifty

Return/Vol Ratio

0.34

Simple Sharpe proxy

Volatility Regime

Moderate25.0% annualised

ICICIPRULI has moderate volatility consistent with a typical Indian equity.

Drawdown History

Worst Drawdown

-36.3%

From Sept 24 to Apr 26
378 days of decline

Recovery

Not recovered

Still below the previous peak

Currently 29.2% below the 3-year high

Historical Returns

1 Month

-5.7%

3 Months

-18.4%

1 Year

+4.3%

3 Years

52-Week Range

₹503Range: 37%₹688

See DCF fair value for ICICIPRULI

Combine risk profile with intrinsic value estimate.

See Fair Value →

Risk statistics computed from historical price data. Past volatility does not predict future risk. YieldIQ is not registered with SEBI as an investment adviser.