Shareholder's Funds
16,564.86
10,845.85
12,711.95
11,365.88
10,484.48
10,085.11
9,565.70
8,275.93
7,137.81
5,774.87
Share Capital
1,198.84
333.11
229.41
204.50
167.54
167.54
152.91
148.13
148.13
143.44
Total Reserves
15,366.02
10,512.74
12,482.53
11,161.38
10,316.94
9,917.56
9,412.78
8,127.80
6,989.68
5,631.43
Minority Interest
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Deposits
184,567.84
183,315.95
220,559.62
205,170.84
199,345.82
193,393.01
166,005.45
136,142.20
116,747.50
92,733.67
Borrowings
8,394.26
22,171.13
6,468.17
13,112.19
10,414.90
13,021.45
12,898.85
14,248.10
15,965.38
9,077.53
Other Liabilities & Provisions
4,050.89
5,558.37
8,151.32
5,214.70
5,747.82
5,548.91
4,972.34
4,894.20
3,657.91
4,081.24
Total Liabilities
213,577.85
221,891.30
247,891.06
234,863.61
225,993.02
222,048.48
193,442.34
163,560.43
143,508.60
111,667.31
Net Block
1,417.45
1,228.08
1,288.48
1,275.10
522.67
461.72
439.86
353.88
326.42
287.51
Gross Block
2,918.24
2,583.69
2,484.86
2,343.01
1,460.67
1,252.59
1,161.32
995.18
904.03
813.17
Accumulated Depreciation
1,500.79
1,355.62
1,196.38
1,067.90
938.00
790.86
721.46
641.29
577.61
525.66
Total Non-Current Assets
195,221.30
202,765.49
230,769.73
220,061.19
211,629.30
217,981.80
190,007.67
159,997.61
141,024.62
108,809.80
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
4.40
1.13
1.53
2.03
3.71
3.55
3.34
2.09
2.55
5.18
Cash and balance with RBI
9,661.07
11,140.15
17,496.63
10,087.21
10,148.93
13,740.21
8,847.85
9,288.23
8,142.32
8,835.03
Balance with banks and money at call
2,907.97
177.53
7,553.32
5,093.98
2,589.97
498.81
3,835.48
2,409.76
2,250.19
1,956.89
Investments
59,979.20
70,349.76
64,072.98
63,280.63
53,297.98
66,191.21
58,164.49
47,474.63
43,452.74
34,522.63
Advances
121,251.21
119,868.84
140,356.79
140,322.24
145,066.04
137,086.30
118,716.65
100,469.02
86,850.40
63,202.56
Other Assets
18,356.56
19,125.82
17,121.31
14,802.41
14,363.72
4,066.67
3,434.67
3,562.80
2,483.97
2,857.49
Total Assets
213,577.86
221,891.31
247,891.04
234,863.60
225,993.02
222,048.47
193,442.34
163,560.41
143,508.59
111,667.29
Contingent Liabilities
62,625.63
87,356.58
81,531.24
80,559.94
99,044.39
62,391.82
50,374.32
51,140.61
48,702.39
40,964.78
Bills for collection
13,747.31
13,893.40
17,304.90
15,043.18
13,521.31
11,385.21
7,315.62
6,275.12
4,718.52
3,762.14
Adjusted Book Value
26.13
61.24
105.04
104.51
125.16
120.89
125.59
112.67
97.23
81.31
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