BANDHANBNKPrivate Sector Bank

Bandhan Bank LtdBalance Sheet

141.35
-2.94%

Bandhan Bank Ltd Balance Sheet (Annual)

Metric20252024202320222021
Ordinary Shares Number161.10 Cr161.10 Cr161.08 Cr161.08 Cr
Share Issued161.10 Cr161.10 Cr161.08 Cr161.08 Cr
Net Debt1.57K Cr201.00 Cr9.97K Cr7.96K Cr
Total Debt11.14K Cr17.19K Cr25.02K Cr20.58K Cr
Tangible Book Value24.61K Cr21.61K Cr19.58K Cr17.38K Cr
Invested Capital35.74K Cr38.80K Cr44.60K Cr37.96K Cr
Net Tangible Assets24.61K Cr21.61K Cr19.58K Cr17.38K Cr
Common Stock Equity24.61K Cr21.61K Cr19.58K Cr17.38K Cr
Total Capitalization35.74K Cr38.80K Cr44.60K Cr37.96K Cr
Total Equity Gross Minority Interest24.61K Cr21.61K Cr19.58K Cr17.38K Cr
Stockholders Equity24.61K Cr21.61K Cr19.58K Cr17.38K Cr
Other Equity Interest245.91 Cr44.19 Cr11.95 Cr5.24 Cr
Capital Stock1.61K Cr1.61K Cr1.61K Cr1.61K Cr
Common Stock1.61K Cr1.61K Cr1.61K Cr1.61K Cr
Total Liabilities Net Minority Interest166.87K Cr156.23K Cr136.45K Cr121.61K Cr
Long Term Debt And Capital Lease Obligation11.14K Cr17.19K Cr25.02K Cr20.58K Cr
Total Assets191.48K Cr177.84K Cr156.04K Cr139.00K Cr
Investments And Advances40.71K Cr29.29K Cr32.37K Cr29.08K Cr
Investmentin Financial Assets40.71K Cr29.29K Cr32.37K Cr29.08K Cr
Net PPE1.18K Cr1.17K Cr854.59 Cr587.89 Cr
Cash And Cash Equivalents9.57K Cr22.42K Cr15.05K Cr12.62K Cr
Cash Financial7.48K Cr1.45K Cr1.22K Cr1.17K Cr
Cash Cash Equivalents And Federal Funds Sold9.57K Cr22.42K Cr15.05K Cr12.62K Cr
Treasury Shares Number0.00
Retained Earnings8.68K Cr7.45K Cr6.01K Cr6.17K Cr
Additional Paid In Capital5.42K Cr5.42K Cr5.42K Cr5.41K Cr
Payables279.11 Cr119.56 Cr110.36 Cr855.42 Cr
Accounts Payable279.11 Cr119.56 Cr110.36 Cr415.41 Cr
Available For Sale Securities224.21 Cr218.15 Cr439.67 Cr55.87 Cr
Long Term Equity Investment0.000.000.000.00
Accumulated Depreciation-887.23 Cr-653.63 Cr-540.71 Cr-443.06 Cr
Gross PPE2.06K Cr1.51K Cr1.13K Cr929.77 Cr
Construction In Progress214.36 Cr345.68 Cr173.30 Cr54.75 Cr
Other Properties1.53K Cr994.83 Cr801.53 Cr721.30 Cr
Properties315.23 Cr167.72 Cr153.76 Cr153.72 Cr
Prepaid Assets719.90 Cr310.58 Cr0.00236.19 Cr
Receivables1.44K Cr967.21 Cr1.04K Cr541.50 Cr
Cash Equivalents0.000.0025.00 Cr0.00
Other Payable660.22 Cr440.01 Cr

All figures in ₹ Crores. Source: NSE/BSE filings via Bull Run.

Data from NSE/BSE public filings. Educational purposes only. Bull Run is not SEBI-registered. Not investment advice.