In ₹ Crore except Per Share 12 Months Ending | FY24 31/03/2024 | FY25 31/03/2025 | FY26 31/03/2026 | Last 12M 30/06/2026 | |
|---|---|---|---|---|---|
| Capital & Liabilities | |||||
| + Capital | 617.3 | 619.5 | 621.6 | 621.6 | |
| + Reserves & Surplus | 1,55,511.7 | 1,85,433.4 | 2,12,957.3 | 2,12,957.3 | |
| + Employee Stock Options Outstanding | 894.5 | 1,182.7 | 1,456.4 | 1,456.4 | |
| + Deposits | 10,67,102.4 | 11,70,920.9 | 13,33,791.4 | 13,33,791.4 | |
| - Demand Deposits | 1,56,354.4 | 1,65,777.9 | 1,83,801.1 | 1,83,801.1 | |
| - Savings Bank Deposits | 3,02,132.6 | 3,11,389.3 | 3,44,136.0 | 3,44,136.0 | |
| - Term Deposits | 6,08,615.5 | 6,93,753.7 | 8,05,854.3 | 8,05,854.3 | |
| + Borrowings | 2,28,199.6 | 2,20,686.8 | 2,80,510.6 | 2,80,510.6 | |
| + Minority Interest | 499.4 | 635.1 | 798.2 | 798.2 | |
| + Other Liabilities & Provisions | 65,413.6 | 77,484.4 | 1,15,914.7 | 1,15,914.7 | |
| Total Capital & Liabilities | 15,18,238.5 | 16,56,962.6 | 19,46,050.3 | 19,46,050.3 | |
| Assets | |||||
| + Cash & Balances with RBI | 86,077.5 | 73,638.4 | 78,627.4 | 78,627.4 | |
| + Balances with Banks / Call Money | 30,415.7 | 29,060.3 | 30,724.2 | 30,724.2 | |
| + Investments | 3,32,353.7 | 3,96,685.1 | 4,46,422.2 | 4,46,422.2 | |
| + Advances | 9,99,333.5 | 10,81,229.5 | 12,82,392.2 | 12,82,392.2 | |
| - Secured by Tangible Assets | 6,99,357.6 | 7,91,209.3 | — | — | |
| - Unsecured | 2,95,562.7 | 2,87,991.5 | — | — | |
| - Priority Sector | 3,69,070.1 | 3,84,558.9 | — | — | |
| + Fixed Assets | 5,837.6 | 6,492.1 | 6,756.0 | 6,756.0 | |
| + Other Assets | 63,931.3 | 69,568.1 | 1,00,839.1 | 1,00,839.1 | |
| Total Assets | 15,18,238.5 | 16,56,962.6 | 19,46,050.3 | 19,46,050.3 | |
| Off Balance Sheet | |||||
| Contingent Liabilities | 19,12,125.4 | 28,78,200.5 | 30,31,841.2 | 30,31,841.2 | |
| Bills for Collection | 73,543.1 | 76,931.2 | 90,282.9 | 90,282.9 | |
| Other Filed Concepts — mapped but not yet placed in the schedule | |||||
| Goodwill | 289.2 | 289.2 | 289.2 | 289.2 | |