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 | 994.0 | 994.1 | 994.7 | 994.7 | |
| + Reserves & Surplus | 1,28,898.4 | 1,56,401.0 | 1,80,118.1 | 1,80,118.1 | |
| + Employee Stock Options Outstanding | 79.3 | 94.3 | 113.1 | 113.1 | |
| + Deposits | 4,45,268.8 | 4,94,707.5 | 5,66,940.3 | 5,66,940.3 | |
| - Demand Deposits | 73,433.8 | 81,105.7 | 98,941.2 | 98,941.2 | |
| - Savings Bank Deposits | 1,29,095.2 | — | — | — | |
| - Term Deposits | 2,42,739.8 | — | — | — | |
| + Borrowings | 75,105.6 | 97,622.0 | 95,393.5 | 95,393.5 | |
| + Policyholders' Funds | 73,375.6 | 85,121.1 | 96,168.3 | 96,168.3 | |
| + Other Liabilities & Provisions | 43,945.3 | 44,834.4 | 63,624.7 | 63,624.7 | |
| Total Capital & Liabilities | 7,67,667.0 | 8,79,774.3 | 10,03,352.8 | 10,03,352.8 | |
| Assets | |||||
| + Cash & Balances with RBI | 36,286.7 | 41,748.4 | 51,281.7 | 51,281.7 | |
| + Balances with Banks / Call Money | 28,919.7 | 37,313.4 | 50,809.4 | 50,809.4 | |
| + Investments | 2,46,445.7 | 2,84,255.0 | 2,90,632.8 | 2,90,632.8 | |
| + Advances | 4,30,351.6 | 4,86,165.5 | 5,65,767.9 | 5,65,767.9 | |
| - Secured by Tangible Assets | 3,36,228.2 | 3,89,831.5 | 4,64,231.8 | 4,64,231.8 | |
| - Unsecured | 90,752.4 | 94,789.1 | 1,00,875.3 | 1,00,875.3 | |
| - Priority Sector | 1,67,743.1 | 1,94,805.2 | 2,35,532.7 | 2,35,532.7 | |
| + Fixed Assets | 2,562.5 | 2,810.8 | 2,852.8 | 2,852.8 | |
| + Other Assets | 22,153.0 | 26,533.5 | 41,060.4 | 41,060.4 | |
| Total Assets | 7,67,667.0 | 8,79,774.3 | 10,03,352.8 | 10,03,352.8 | |
| Off Balance Sheet | |||||
| Contingent Liabilities | 7,34,057.4 | 11,27,159.3 | 9,89,791.4 | 9,89,791.4 | |
| Bills for Collection | 47,467.7 | 52,690.8 | 68,473.7 | 68,473.7 | |
| Insurance — Balance Sheet | |||||
| + Policyholders' Funds | 73,375.6 | 85,121.1 | 96,168.3 | 96,168.3 | |
| Other Filed Concepts — mapped but not yet placed in the schedule | |||||
| Goodwill | 947.8 | 947.8 | 947.8 | 947.8 | |