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Kotak Mahindra Bank share price

Moderate risk
  • 17%Low risk
  • 17%Moderate risk
  • 17%Balanced risk
  • 17%High risk
  • 17%Extreme risk
  • 422.35(3.35%)
    February 6, 2026 15:51:18 PM IST
    • NSE
    • BSE
  • Vol : 21.58 M (NSE + BSE)
    Last 20 day avg : 20.22 M

Kotak Mahindra Bank is trading 3.35% upper at Rs 422.35 as compared to its last closing price. Kotak Mahindra Bank has been trading in the price range of 424.80 & 410.00. Kotak Mahindra Bank has given -7.15% in this year & 0.18% in the last 5 days. Kotak Mahindra Bank has TTM P/E ratio 23.29 as compared to the sector P/E of 10.35.There are 37 analysts who have initiated coverage on Kotak Mahindra Bank. There are 11 analysts who have given it a strong buy rating & 11 analysts have given it a buy rating. 3 analysts have given the stock a sell rating.The company posted a net profit of 4,924.29 Crores in its last quarter.Listed peers of Kotak Mahindra Bank include HDFC Bank (-0.87%), ICICI Bank (0.75%), State Bank of India (-0.65%).The Mutual Fund holding in Kotak Mahindra Bank was at 21.18% in 31 Dec 2025. The MF holding has increased from the last quarter. The FII holding in Kotak Mahindra Bank was at 29.35% in 31 Dec 2025. The FII holding has decreased from the last quarter.

  • Overview
  • Financials
  • Forecast
  • Technical Analysis
  • Peers
  • Shareholding
  • About the company
  • FAQ

Overview

  • 1 D
  • 5 D
  • 1 M
  • 3 M
  • 6 M
  • 1 Y
  • 5 Y
  • MAX
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Key Metrics

Updated on Feb 06, 2026, 07:55 PM UTC

  • Beta
    Beta measures a stock's volatility compared to the overall market. A beta > 1 indicates higher volatility than the market.
    0.89
    Medium volatility
  • Debt To Equity
    The debt-to-equity ratio, indicating a company's financial leverage.
    0.64
    Higher than industry
  • Dividend Yield
    Annual dividends as a percentage of the stock price.
    0.12
    Lower than industry
  • P/B
    The P/B ratio shows how a stock's market price compares to its book value. It helps gauge whether a stock is undervalued or overvalued relative to its net assets.
    2.58
    Lower than historical values
  • P/E
    Price-to-earnings ratio based on trailing 12-month earnings
    21.62
    Lower than historical values
  • PEG Ratio
    The PEG ratio evaluates a stock's valuation by comparing its P/E ratio to its earnings growth rate. A lower PEG suggests better value relative to growth
    0.97
    Indicates undervaluation
Price range
Day Range
Lowest
410.00
Highest
424.80
52 week range
Lowest
375.60
Highest
460.31
Kotak Mahindra Bank Peers
Return Comparison
Peers Comparison
Names
Technical ratingPrice%ChangeMarket CapP/EP/BDividend YieldDebt to Equity
HDFC Bank
Neutral
941.20-0.8714,48,326.5720.362.75--
ICICI Bank
Bullish
1,406.650.7510,06,258.8119.963.26--
State Bank of India
Bullish
1,066.40-0.659,84,353.0611.781.88--
Bank of Baroda
Neutral
289.15-0.431,49,504.207.541.07--
Punjab National Bank
Neutral
122.80-1.011,41,076.487.921.07--
Mutual Fund Ownership
View all
SBI Banking & Financial Services Regular Growth
4/5
  • Amount Invested (Cr.) 745.14
  • % of AUM 9.32
DSP Nifty Top 10 Equal Weight Index Fund Regular Growth
NA
  • Amount Invested (Cr.) 155.72
  • % of AUM 9.23
Tata Banking & Financial Services Fund Regular Growth
3/5
  • Amount Invested (Cr.) 238.60
  • % of AUM 8.53
Taurus Banking & Financial Services Fund Growth Option
3/5
  • Amount Invested (Cr.) 0.98
  • % of AUM 8.10
NJ Arbitrage Fund Regular Growth
NA
  • Amount Invested (Cr.) 20.34
  • % of AUM 7.81
Kotak Mahindra Bank Corporate Actions
View all
  • Board Meetings
  • AGM
  • Dividends
  • Bonus
  • Split
  • Rights
Meeting DatePurpose
2026-01-24Quarterly Results & Fund Raising
2025-11-21Stock Split
2025-10-25Quarterly Results
2025-07-26Quarterly Results
2025-05-03Audited Results & Dividend
About the company Kotak Mahindra Bank
  • IndustryRegional Banks
  • ISININE237A01036
  • BSE Code500247
  • NSE CodeKOTAKBANK
Kotak Mahindra Bank Limited is an India-based diversified financial services company. The Company's segments include Corporate/Wholesale Banking; Retail Banking; Treasury, Balance Sheet Management Unit (BMU) and Corporate Centre; Vehicle Financing; Other Lending Activities; Broking; Advisory and Transactional Services; Asset Management, and Insurance. Corporate/Wholesale Banking segment includes wholesale borrowings and lending and other related services to the corporate sector. Retail Banking segment comprises of digital banking and other retail banking. Vehicle Financing segment includes retail vehicle financing and wholesale trade financing to auto dealers. Other Lending Activities segment includes securitization and other loans/services. Advisory and Transactional Services segment provides financial advisory and transactional services such as mergers and acquisition advice, equity/debt issue management services and business correspondent services.
  • Management Info
  • Devang GheewallaPresident, Chief Financial Officer
  • Ashok VaswaniChief Executive Officer, Managing Director, Executive Director
  • Avan DoomasiaSenior Executive Vice President, Company Secretary
  • Himanshu VasaChief Compliance Officer
  • Jaideep HansrajWhole-time Director
  • Paritosh KashyapWhole-time Director
  • Anup SahaWhole-time Director
Kotak Mahindra Bank Share Price FAQs

Kotak Mahindra Bank is trading at 422.35 as on Fri Feb 06 2026 10:21:18. This is 3.35% upper as compared to its previous closing price of 408.65.

The market capitalization of Kotak Mahindra Bank is 417173.53 Cr as on Fri Feb 06 2026 10:21:18.

The average broker rating on Kotak Mahindra Bank is Buy. The breakup of analyst rating is given below -

  • 11 analysts have given a strong buy rating
  • 11 analysts have given a buy rating
  • 11 analysts have given a hold rating
  • 3 analysts have given a sell rating
  • 1 analysts have given a strong sell rating

The 52 wk high for Kotak Mahindra Bank is 460.31 whereas the 52 wk low is 375.60

Kotak Mahindra Bank can be analyzed on the following key metrics -

  • TTM P/E: 23.29
  • Sector P/E: 10.35
  • Dividend Yield: 0.12%
  • D/E ratio: -

Kotak Mahindra Bank reported a net profit of 22125.99 Cr in 2025.

The Mutual Fund Shareholding was 21.18% at the end of 31 Dec 2025.