Bank of India share price: Current quote, Q2 results and outlook

Introduction: Why bank of india share price matters
Bank of India is a significant public sector lender in India, and its share price is closely watched by retail and institutional investors for signals about bank-sector health and macroeconomic trends. Movements in the bank of india share price reflect earnings momentum, trading activity in F&O markets, and investor sentiment toward state-owned banks.
Main body
Market snapshot and intraday range
According to the provided sources, Bank of India share price quotes vary slightly across platforms. INDmoney reports a current level of ₹158.36, with a day high of ₹162.54 and a day low of ₹156.35. That level is about 3.64% below the 52-week high and roughly 70.90% above the 52-week low, indicating substantial recovery from the annual trough. 5paisa lists the price at ₹158 as of 21 January 2026, 10:50. TradingView shows a somewhat higher intraday figure of ₹164.33, noting a 4.14% increase in the past 24 hours, illustrating short-term volatility across platforms.
Recent financial performance
Bank of India reported improved profitability in its recent quarter. Net profit for Q2 2025-26 rose 6.42% year-on-year to ₹2,576.69 crore. On a quarterly basis, net profit expanded strongly — a 40.84% jump versus the previous three months — signaling improving operating trends. On a trailing 12-month basis, the bank has operating revenue of about ₹83,448.72 crore, per 5paisa data. The bank’s market capitalisation is reported at around ₹72,728.87 crore by INDmoney.
Trading and investment context
Platforms note the presence of futures & options (F&O) activity in Bank of India stock and tools such as leverage (5paisa mentions up to 3.32X) that can amplify short-term returns and risks. Key metrics investors are advised to watch include revenue growth, dividend yield, ROE/ROCE, and asset-quality trends.
Conclusion and outlook
The bank of india share price is showing resilience after a low point in the past year, underpinned by sequential profit growth and sizable operating revenues. Short-term quotes differ by platform, reflecting market volatility and timing. For investors, the near-term outlook will hinge on continued earnings momentum, asset-quality trends and macroeconomic conditions. Those considering exposure should monitor official quarterly updates and use risk controls when trading in leveraged or F&O positions.









