Shareholder's Funds
13,331.72
10,936.33
11,429.16
11,026.20
10,094.22
8,761.25
8,454.14
7,500.88
6,525.11
4,426.79
Share Capital
2,884.49
1,198.83
681.16
681.16
602.85
589.61
559.58
559.58
559.58
485.00
Total Reserves
10,447.24
9,737.50
10,748.00
10,345.04
9,491.38
8,171.63
7,894.56
6,941.30
5,965.53
3,941.79
Minority Interest
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Deposits
219,852.93
208,092.92
195,475.94
174,334.48
155,051.41
141,880.33
123,796.45
105,833.12
92,143.11
77,676.13
Borrowings
10,314.59
18,312.10
8,866.90
9,722.63
15,319.32
13,192.99
11,125.78
8,245.28
7,639.74
5,852.44
Other Liabilities & Provisions
10,544.73
8,769.92
10,648.96
7,603.71
7,208.10
5,565.00
4,182.95
3,685.03
3,024.51
2,427.87
Total Liabilities
254,043.97
246,111.27
226,420.96
202,687.02
187,673.05
169,399.57
147,559.32
125,264.31
109,332.47
90,383.23
Net Block
1,564.91
1,475.68
1,495.55
1,316.52
1,234.08
406.64
317.88
313.58
311.33
337.61
Gross Block
3,905.08
3,646.61
3,493.80
3,319.36
3,093.81
1,287.12
1,124.11
1,044.48
960.49
902.91
Accumulated Depreciation
2,340.17
2,170.93
1,998.25
2,002.84
1,859.73
880.47
806.23
730.90
649.16
565.29
Total Non-Current Assets
242,882.99
234,968.99
218,982.02
197,618.40
183,104.39
164,806.61
144,177.91
122,489.98
106,776.32
88,547.93
Lease Adjustment A/c
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Capital Work in Progress
7.37
9.76
47.17
63.44
43.49
43.16
4.33
2.76
22.02
18.05
Cash and balance with RBI
10,127.14
9,911.35
9,323.09
8,791.61
7,517.87
7,912.30
6,084.45
5,563.95
7,184.57
6,698.70
Balance with banks and money at call
5,420.83
6,546.51
8,856.28
577.46
457.28
2,008.62
1,021.94
3,309.69
3,389.26
4,468.96
Investments
66,914.83
67,939.81
62,389.01
56,059.39
47,873.57
46,770.98
38,376.01
30,077.02
24,433.78
20,911.10
Advances
158,847.91
149,085.88
136,870.92
130,809.98
125,978.10
107,664.91
98,373.30
83,222.98
71,435.36
56,113.51
Other Assets
11,160.99
11,142.29
7,438.95
5,068.63
4,568.67
4,592.96
3,381.41
2,774.34
2,556.15
1,835.32
Total Assets
254,043.98
246,111.28
226,420.97
202,687.03
187,673.06
169,399.57
147,559.32
125,264.32
109,332.47
90,383.25
Contingent Liabilities
203,733.03
145,723.10
111,082.78
41,750.17
55,113.15
40,639.05
28,299.21
40,834.07
36,268.02
41,734.16
Bills for collection
9,801.11
8,773.41
7,652.90
7,010.43
5,196.72
5,294.45
4,328.67
3,659.29
3,062.08
2,311.83
Adjusted Book Value
42.89
84.26
155.31
151.74
155.62
148.59
151.08
134.04
116.61
91.27
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