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   Quarterly Results
Change Company Name
Kotak Mahindra Bank Ltd
Banks - Private Sector
BSE Code 500247 ISIN Demat INE237A01028 Book Value 556.52 NSE Symbol KOTAKBANK Dividend Yield (%) 0.12 Market Cap ( Cr.) 339,598.32 P/E 24.17 EPS 70.66 Face Value 5

Particulars (₹ Cr)Sep 2024Jun 2024Mar 2024Dec 2023
Interest Earned 13216.2712746.1112307.0611799.02
Other Income 2,684.192,929.042,978.292,297.02
Total Income 15,900.4615,675.1515,285.3514,096.04
Interest Expended 6,196.665,903.765,397.715,245.50
Operating Expenses 4,604.554,517.284,426.084,284.33
Total Expenditure (excluding Provisions and Contingencies) 10,801.2110,421.049,823.799,529.83
Operating Profit(before Provisions and Contingencies) 5,099.255,254.115,461.564,566.21
Provisions(other than tax) and Contingencies(net of write backs) 660.39578.48263.73579.14
Exceptional Items 0.003,519.900.000.00
Other Adjustments Before Tax 0.000.000.000.00
Profit from ordinary activities before tax 4,438.868,195.535,197.833,987.07
Tax Expenses 1,095.141,945.711,064.53982.06
Net profit from Ordinary Activities After Tax 3,343.726,249.824,133.303,005.01
Extraordinary items (net of tax expenses) 0.000.000.000.00
Other Adjustments After Tax 0.000.000.000.00
Net Profit after tax for the Period 3,343.726,249.824,133.303,005.01
Other Comprehensive Income 0.000.000.000.00
Total Comprehensive Income 3,343.726,249.824,133.303,005.01
Equity 994.06993.98993.96993.83
Reserve & Surplus 0.000.000.000.00
Face Value 5.005.005.005.00
EPS before Exceptional/Extraordinary items-Basic 16.8213.7320.6015.12
EPS before Exceptional/Extraordinary items-Diluted 16.8213.7320.6015.12
EPS after Exceptional/Extraordinary items-Basic 16.8231.4420.6015.12
EPS after Exceptional/Extraordinary items-Diluted 16.8231.4420.6015.12
Book Value (Unit Curr.) 0.000.000.000.00
Dividend Per Share(Rs.) 0.000.000.000.00
Dividend (%) 0.000.000.000.00
(%) of shares held by Govt. Of India 0.000.000.000.00
Net Interest Margin(%) 4.915.025.285.22
Provision Coverage Ratio(%) 71.0075.0075.9080.60
CASA Ratio(%) 43.6043.4045.5047.70
Capital Adequacy Ratio-Basel I 0.000.000.000.00
Tier I Capital-basel I 0.000.000.000.00
Tier II Capital-basel I 0.000.000.000.00
Capital Adequacy Ratio-Basel II 0.000.000.000.00
Tier I Capital-basel II 0.000.000.000.00
Tier II Capital-basel II 0.000.000.000.00
Capital Adequacy Ratio-Basel III 22.6022.4120.5519.00
Tier I Capital-basel III 21.5021.3019.200.00
Tier II Capital-basel III 1.101.111.350.00
Gross Non Performing Assets 6,033.175,477.155,274.786,301.67
Net Non Performing Assets 1,723.831,376.331,270.571,225.26
(%) Gross Non Performing Assets 1.491.391.391.73
(%) Net Non Performing Assets 0.430.350.340.34
Return on Assets(Annualised) 0.000.000.000.00
Return on Assets(Non Annualised) 0.551.050.740.55
Current Deposits 61,853.0070,144.0075,208.0068,788.00
Saving Deposits 124,823.00124,078.00129,096.00126,261.00
Term Deposits 259,434.00253,196.00244,650.00213,587.00
Total Deposits 446,110.00447,418.00448,954.00408,636.00
Total Advances 399,522.00389,957.00376,075.00359,588.00
No. of Employees 0.000.000.000.00
No. of Branches 2,013.001,965.001,948.001,869.00
No. of ATMs 3,329.003,279.003,291.003,239.00
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