Shareholder's Funds
9,202.80
7,685.14
7,141.48
7,440.13
7,142.49
5,764.01
4,477.33
3,655.92
2,601.69
2,170.50
Share Capital
2,259.05
787.15
666.93
561.15
537.82
350.06
350.06
333.39
286.82
286.82
Total Reserves
6,943.75
6,105.66
6,474.54
6,878.98
6,604.67
5,413.95
4,127.27
3,322.54
2,314.87
1,883.67
Minority Interest
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Deposits
1,06,130.14
1,13,942.77
1,17,430.96
1,15,936.08
1,10,027.69
97,207.15
77,166.80
64,209.62
51,344.28
43,050.61
Borrowings
3,561.00
5,060.88
6,271.33
3,436.00
5,160.93
8,413.66
3,880.95
1,691.66
1,561.92
1,443.13
Other Liabilities & Provisions
1,965.85
2,841.73
2,597.88
3,108.34
2,532.38
2,055.61
1,862.84
1,281.22
2,078.70
1,796.27
Total Liabilities
1,20,859.79
1,29,530.52
1,33,441.65
1,29,920.55
1,24,863.49
1,13,440.43
87,387.92
70,838.42
57,586.59
48,460.51
Net Block
1,549.18
1,574.53
1,367.02
1,153.50
1,126.66
1,109.95
405.16
403.59
407.06
405.07
Gross Block
2,359.68
2,303.73
2,267.86
1,932.71
1,799.69
1,694.41
924.45
888.00
862.57
829.47
Accumulated Depreciation
810.51
729.19
900.84
779.21
673.03
584.46
519.29
484.40
455.51
424.40
Total Non-Current Assets
1,10,705.87
1,20,153.18
1,24,300.66
1,22,525.49
1,21,683.37
1,11,057.85
85,678.03
69,409.51
56,678.47
47,613.32
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
8.16
2.47
1.20
0.07
18.15
2.17
1.48
0.15
0.22
0.09
Cash and balance with RBI
5,894.74
6,010.86
5,348.74
9,085.05
6,243.95
8,644.49
5,194.96
4,721.41
4,355.03
4,982.41
Balance with banks and money at call
62.73
253.47
29.15
590.63
128.77
1,176.92
356.24
687.40
759.49
874.71
Investments
37,609.55
39,737.23
35,226.22
32,761.93
36,612.07
34,343.10
23,027.65
18,768.91
15,694.23
12,473.08
Advances
65,581.51
72,574.62
82,328.33
78,934.31
77,553.77
65,781.22
56,692.54
44,828.05
35,462.44
28,877.96
Other Assets
10,153.93
9,377.34
9,140.98
7,395.04
3,180.10
2,382.58
1,709.90
1,428.91
908.11
847.20
Total Assets
1,20,859.80
1,29,530.52
1,33,441.64
1,29,920.53
1,24,863.47
1,13,440.43
87,387.93
70,838.42
57,586.58
48,460.52
Contingent Liabilities
51,630.04
43,028.81
39,086.26
39,394.39
55,726.26
52,218.49
40,011.22
14,833.40
13,174.71
11,506.80
Bills for collection
5,190.68
5,358.15
2,908.08
2,607.66
2,899.00
4,595.66
5,474.78
3,962.42
20,481.74
3,027.47
Adjusted Book Value
35.90
73.61
93.14
118.96
117.71
140.25
122.59
103.76
83.43
67.95
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