Fiscal Period | 2025 | 2024 | 2023 | 2022 |
---|---|---|---|---|
Period End Date | Mar 25 | Mar 24 | Mar 23 | Mar 22 |
Net Loans | 10,60,075.68 | 9,23,482.06 | 8,22,403.44 | 7,24,563.57 |
Total Liabilities Shareholders' Equity | 18,57,543.63 | 15,98,635.96 | 14,93,648.94 | 13,39,301.13 |
Accumulated Depreciation Total | -8,377.84 | -8,084.07 | -7,582.03 | -10,287.51 |
Other Liabilities Total | 31,780.05 | 28,235.02 | 22,643.38 | 21,775.24 |
Long Term Debt | 1,05,806.55 | 72,585.62 | 70,148.62 | 59,371.67 |
Common Stock Total | 2,298.59 | 2,202.20 | 2,202.20 | 2,202.20 |
Other Equity Total | 998.99 | 877.00 | 843.52 | 1,008.10 |
Total Assets | 18,57,543.63 | 15,98,635.96 | 14,93,648.94 | 13,39,301.13 |
Additional Paid- In Capital | 50,929.71 | 46,038.53 | 46,038.53 | 46,038.53 |
Total Equity | 1,33,137.96 | 1,10,386.73 | 1,02,880.50 | 97,581.92 |
Long Term Investments | 6,186.23 | 5,502.46 | 4,304.70 | 3,569.77 |
Retained Earnings( Accumulated Deficit) | 66,862.66 | 51,039.36 | 43,706.07 | 39,844.15 |
Total Common Shares Outstanding | 1,149.29 | 1,101.10 | 1,101.10 | 1,101.10 |
Total Short Term Borrowings | 4,430.52 | 3,361.27 | 3,718.85 | 3,081.71 |
Property/ Plant/ Equipment Total- Gross | 21,461.14 | 20,431.91 | 19,665.99 | 20,983.72 |
Tangible Book Valueper Share Common Eq | 115.84 | 100.25 | 93.43 | 88.62 |
Other Earning Assets Total | 5,70,049.17 | 4,79,526.45 | 4,59,539.21 | 4,35,852.50 |
Total Liabilities | 17,24,405.67 | 14,88,249.23 | 13,90,768.44 | 12,41,719.21 |
Total Debt | 1,10,237.07 | 75,946.89 | 73,867.47 | 62,453.38 |
Property/ Plant/ Equipment Total- Net | 13,083.30 | 12,347.84 | 12,083.96 | 10,696.21 |
Minority Interest | 628.43 | 560.77 | 459.38 | 473.47 |
Cash Duefrom Banks | 1,25,561.95 | 1,11,072.96 | 1,25,453.95 | 92,559.69 |
Accounts Payable | 4,740.24 | 4,281.31 | 3,451.14 | 2,782.66 |
Total Long Term Debt | 1,05,806.55 | 72,585.62 | 70,148.62 | 59,371.67 |
Other Assets Total | 61,439.00 | 43,748.77 | 45,890.19 | 46,356.09 |
Other Long Term Assets Total | 21,148.30 | 22,955.42 | 23,973.49 | 25,703.30 |
Unrealized Gain( Loss) | 12,048.01 | 10,229.64 | 10,090.18 | 8,488.94 |
Total Deposits | 15,77,019.88 | 13,79,225.24 | 12,90,347.07 | 11,54,234.46 |
period Length | 0.00 | 0.00 | 0.00 | 0.00 |
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