| Fiscal Period | 2025 | 2024 | 2023 | 2022 |
|---|---|---|---|---|
| Period End Date | Mar 25 | Mar 24 | Mar 23 | Mar 22 |
| Net Loans | 40,41,116.80 | 36,02,607.15 | 31,15,294.10 | 26,73,025.22 |
| Total Liabilities Shareholders' Equity | 73,14,185.34 | 67,33,778.80 | 59,54,418.32 | 53,60,883.53 |
| Accumulated Depreciation Total | -42,358.28 | -39,483.73 | -36,605.33 | -31,369.70 |
| Other Liabilities Total | 6,91,086.62 | 6,48,489.56 | 5,38,055.97 | 4,56,035.55 |
| Long Term Debt | 6,10,857.25 | 6,39,609.50 | 5,21,151.95 | 4,49,159.78 |
| Common Stock Total | 892.46 | 892.46 | 892.46 | 892.46 |
| Other Equity Total | 17,355.87 | 15,107.70 | 14,331.74 | 11,256.69 |
| Total Assets | 73,14,185.34 | 67,33,778.80 | 59,54,418.32 | 53,60,883.53 |
| Additional Paid- In Capital | 79,115.60 | 79,115.48 | 79,115.48 | 79,115.47 |
| Total Equity | 4,87,036.76 | 4,14,939.17 | 3,58,931.32 | 3,05,588.05 |
| Long Term Investments | 17,872.50 | 17,675.58 | 16,189.21 | 14,762.15 |
| Retained Earnings( Accumulated Deficit) | 3,50,794.90 | 2,80,745.58 | 2,24,563.99 | 1,83,249.61 |
| Total Common Shares Outstanding | 892.46 | 892.46 | 892.46 | 892.46 |
| Total Short Term Borrowings | 27,793.09 | 15,700.29 | 27,408.12 | 33,485.82 |
| Property/ Plant/ Equipment Total- Gross | 88,695.97 | 84,191.91 | 81,012.71 | 70,879.73 |
| Tangible Book Valueper Share Common Eq | 544.13 | 463.36 | 400.46 | 340.67 |
| Other Earning Assets Total | 22,35,692.63 | 21,38,346.01 | 19,16,037.23 | 18,31,628.01 |
| Goodwill Net | 1,419.68 | 1,405.96 | 1,538.36 | 1,550.02 |
| Total Liabilities | 68,27,148.58 | 63,18,839.63 | 55,95,487.00 | 50,55,295.48 |
| Total Debt | 6,38,650.34 | 6,55,309.80 | 5,48,560.07 | 4,82,645.61 |
| Deferred Income Tax | 455.44 | 23.21 | 3.80 | 5.69 |
| Property/ Plant/ Equipment Total- Net | 46,337.70 | 44,708.18 | 44,407.38 | 39,510.03 |
| Minority Interest | 18,025.84 | 15,617.96 | 12,836.62 | 11,207.42 |
| Cash Duefrom Banks | 5,37,485.67 | 4,62,764.46 | 4,51,801.35 | 4,50,055.64 |
| Accounts Payable | 39,032.33 | 32,861.61 | 27,495.03 | 17,990.62 |
| Total Long Term Debt | 6,10,857.25 | 6,39,609.50 | 5,21,151.95 | 4,49,159.78 |
| Other Assets Total | 4,24,218.21 | 4,54,130.76 | 3,98,014.30 | 3,43,607.22 |
| Other Long Term Assets Total | 10,042.15 | 12,140.70 | 11,136.38 | 6,745.23 |
| Unrealized Gain( Loss) | 38,877.92 | 39,077.95 | 40,027.64 | 31,073.81 |
| Total Deposits | 54,39,898.02 | 49,66,537.49 | 44,68,535.51 | 40,87,410.60 |
| period Length | 0.00 | 0.00 | 0.00 | 0.00 |
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