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 | 892.5 | 892.5 | 923.1 | 923.1 | |
| + Reserves & Surplus | 4,14,046.7 | 4,86,144.3 | 5,95,207.8 | 5,95,207.8 | |
| + Deposits | 49,66,537.5 | 54,39,898.0 | 60,43,097.1 | 60,43,097.1 | |
| - Demand Deposits | 3,09,277.6 | 3,88,247.8 | 4,11,595.1 | 4,11,595.1 | |
| - Savings Bank Deposits | 16,73,652.2 | 17,20,688.8 | 19,06,892.7 | 19,06,892.7 | |
| - Term Deposits | 29,83,607.7 | 33,30,961.4 | 37,24,609.3 | 37,24,609.3 | |
| + Borrowings | 6,39,609.5 | 6,10,857.2 | 7,77,302.2 | 7,77,302.2 | |
| + Minority Interest | 15,618.0 | 18,025.8 | 18,768.3 | 18,768.3 | |
| + Other Liabilities & Provisions | 6,97,074.7 | 7,58,367.5 | 8,86,270.2 | 8,86,270.2 | |
| Total Capital & Liabilities | 67,33,778.8 | 73,14,185.3 | 83,21,568.6 | 83,21,568.6 | |
| Assets | |||||
| + Cash & Balances with RBI | 2,25,356.3 | 2,27,485.2 | 2,68,681.7 | 2,68,681.7 | |
| + Balances with Banks / Call Money | 1,01,216.0 | 1,30,447.8 | 1,33,161.5 | 1,33,161.5 | |
| + Investments | 21,10,548.2 | 22,05,601.1 | 23,59,502.2 | 23,59,502.2 | |
| + Advances | 37,84,272.7 | 42,50,830.7 | 49,78,013.2 | 49,78,013.2 | |
| - Secured by Tangible Assets | 24,18,590.8 | 27,64,589.8 | 32,73,569.6 | 32,73,569.6 | |
| - Unsecured | 11,72,303.4 | 12,65,096.1 | 14,58,082.0 | 14,58,082.0 | |
| - Priority Sector | 8,04,184.2 | 9,07,348.3 | 11,87,072.9 | 11,87,072.9 | |
| + Fixed Assets | 44,708.2 | 46,337.7 | 57,152.1 | 57,152.1 | |
| + Other Assets | 4,67,677.4 | 4,53,482.9 | 5,25,057.9 | 5,25,057.9 | |
| Total Assets | 67,33,778.8 | 73,14,185.3 | 83,21,568.6 | 83,21,568.6 | |
| Off Balance Sheet | |||||
| Contingent Liabilities | 23,97,594.8 | 26,78,111.5 | 42,41,126.6 | 42,41,126.6 | |
| Bills for Collection | 67,823.2 | 64,472.6 | 1,11,703.0 | 1,11,703.0 | |