KTKBANKPrivate Sector Bank

Karnataka Bank LtdBalance Sheet

222.96
+1.40%

Karnataka Bank Ltd Balance Sheet (Annual)

Metric20252024202320222021
Ordinary Shares Number37.79 Cr37.72 Cr31.23 Cr31.12 Cr
Share Issued37.79 Cr37.72 Cr31.23 Cr31.12 Cr
Total Debt1.94K Cr2.40K Cr1.56K Cr1.46K Cr
Tangible Book Value12.08K Cr10.85K Cr8.21K Cr7.09K Cr
Invested Capital14.03K Cr13.25K Cr9.77K Cr8.56K Cr
Net Tangible Assets12.08K Cr10.85K Cr8.21K Cr7.09K Cr
Common Stock Equity12.08K Cr10.85K Cr8.21K Cr7.09K Cr
Total Capitalization14.03K Cr13.25K Cr9.77K Cr8.56K Cr
Total Equity Gross Minority Interest12.08K Cr10.85K Cr8.21K Cr7.09K Cr
Stockholders Equity12.08K Cr10.85K Cr8.21K Cr7.09K Cr
Capital Stock377.95 Cr377.26 Cr312.35 Cr311.17 Cr
Common Stock377.95 Cr377.26 Cr312.35 Cr311.17 Cr
Total Liabilities Net Minority Interest108.88K Cr105.24K Cr90.85K Cr84.49K Cr
Long Term Debt And Capital Lease Obligation1.94K Cr2.40K Cr1.56K Cr1.46K Cr
Total Assets120.96K Cr116.08K Cr99.06K Cr91.58K Cr
Investments And Advances24.53K Cr24.30K Cr23.32K Cr22.04K Cr
Investmentin Financial Assets24.53K Cr24.30K Cr23.32K Cr22.04K Cr
Net PPE990.67 Cr914.79 Cr875.36 Cr818.22 Cr
Cash And Cash Equivalents7.98K Cr16.34K Cr11.62K Cr4.44K Cr
Cash Financial7.53K Cr619.49 Cr676.08 Cr644.40 Cr
Cash Cash Equivalents And Federal Funds Sold7.98K Cr16.34K Cr11.62K Cr4.44K Cr
Treasury Shares Number0.00
Other Equity Interest0.96 Cr0.05 Cr0.05 Cr
Fixed Assets Revaluation Reserve504.82 Cr510.44 Cr458.95 Cr465.34 Cr
Retained Earnings208.81 Cr164.62 Cr135.08 Cr85.36 Cr
Additional Paid In Capital2.68K Cr1.26K Cr1.26K Cr1.26K Cr
Payables322.66 Cr321.56 Cr376.29 Cr283.39 Cr
Other Payable231.92 Cr231.84 Cr307.95 Cr222.86 Cr
Accounts Payable90.74 Cr89.72 Cr68.34 Cr60.53 Cr
Available For Sale Securities108.50 Cr7.47 Cr187.32 Cr930.78 Cr
Long Term Equity Investment0.000.000.000.00
Accumulated Depreciation-663.81 Cr-610.04 Cr-564.15 Cr-497.75 Cr
Gross PPE1.58K Cr1.49K Cr1.38K Cr1.34K Cr
Construction In Progress0.0029.14 Cr13.16 Cr0.51 Cr
Other Properties770.89 Cr708.26 Cr693.48 Cr658.16 Cr
Properties807.71 Cr748.00 Cr675.74 Cr677.45 Cr
Prepaid Assets896.94 Cr1.11K Cr1.38K Cr721.98 Cr
Receivables1.03K Cr684.09 Cr727.56 Cr774.35 Cr
Cash Equivalents0.000.000.000.00
Taxes Receivable0.0044.54 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.