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Company Name State Bank of India(SBIN)

Last Historical Date 31-Mar-19

Currency in Crore INR


State Bank of India(SBIN)

n Crore INR
State Bank of India(SBIN)
in Crore INR
Mar 12
Mar 13 Mar 14 Mar 15 Mar 16 Mar 17 Mar 18 Mar 19 Mar 20 Mar 21 Mar 22
State Bank of India(SBIN)
in Crore INR
Mar 12

Treasury 31923.89
% 0f total sales 18.03%
yoy growth rate
Corporate / Wholesale Banking 56017.05
% 0f total sales 31.64%
yoy growth rate
Retail Banking 72593.56
% 0f total sales 41.01%
yoy growth rate
Insurance Business 13932.27
% 0f total sales 7.87%
yoy growth rate
Other Banking Operations 2566.05
% 0f total sales 1.45%
yoy growth rate
TOTAL 177032.82
yoy growth rate
Mar 13 Mar 14 Mar 15 Mar 16 Mar 17 Mar 18

33722.31 42418.29 51867.83 61296.54 78525.43 82163.87


16.85% 18.73% 20.26% 22.61% 25.93% 27.28%
5.63% 25.79% 22.28% 18.18% 28.11% 4.63%
65688.06 73300.3 85230.94 86837.57 83694.12 64365.45
32.83% 32.36% 33.29% 32.04% 27.64% 21.37%
17.26% 11.59% 16.28% 1.89% -3.62% -23.09%
82613.11 89329.62 90340.03 97196.4 106413.35 111963.61
41.29% 39.44% 35.28% 35.86% 35.14% 37.17%
13.80% 8.13% 1.13% 7.59% 9.48% 5.22%
15264.65 18066.15 24476.88 20870.02 28047.72 34088.22
7.63% 7.98% 9.56% 7.70% 9.26% 11.32%
9.56% 18.35% 35.48% -14.74% 34.39% 21.54%
2798.89 3388.22 4144.11 4869.88 6174.73 8637.67
1.40% 1.50% 1.62% 1.80% 2.04% 2.87%
9.07% 21.06% 22.31% 17.51% 26.79% 39.89%
200087.02 226502.58 256059.79 271070.41 302855.35 301218.82
13.02% 13.20% 13.05% 5.86% 11.73% -0.54%
Mar 19 Mar 20 Mar 21 Mar 22

77713.33
23.26%
-5.42%
80139.68
23.98%
24.51%
121250.27
36.28%
8.29%
43417.32
12.99%
27.37%
11643.14
3.48%
34.79%
334163.74
10.94%
State Bank of India(SBIN)
in Crore INR
Mar 12

I. INCOME
Interest earned 106521,45,34
Other Income 14351,44,57
TOTAL 120872,89,91
II. EXPENDITURE
Interest expended 63230,36,87
Operating expenses 26068,99,21
Provisions and contingencies 19866,24,97
TOTAL 109165,61,05
III. PROFIT
Net Profit/(Loss) for the year 11707,28,86
Add: Profit/(Loss) brought forward 33,93
Loss of eABs & BMB on amalgamation 5,71,15
TOTAL 11713,33,94
IV. APPROPRIATIONS
Transfer to Statutory Reserve 3516,97,72
Transfer to Capital Reserve 14,37,69
Transfer to Revenue and other Reserves 5536,49,60
Dividend for the previous year paid during the year (including Tax on Dividend)
Dividend for the current year 2348,65,69
(i) Interim Dividend
(ii) Final Dividend Proposed
Tax on Dividend for the Current year 296,49,31
Balance carried over to Balance Sheet 33,93
TOTAL 11713,33,94
Basic Earning per Share: ` 184.31
Diluted Earning per Share: ` 184.31
Mar 13 Mar 14 Mar 15 Mar 16 Mar 17 Mar 18

119657,09,90 136350,80,39 152397,07,42 163998,29,75 175518,24,04 220499,31,56


16034,84,33 18552,91,64 22575,89,26 27845,36,87 35460,92,75 44600,68,71
135691,94,23 154903,72,03 174972,96,68 191843,66,62 210979,16,79 265100,00,27

75325,79,65 87068,63,25 97381,82,36 106803,49,21 113658,50,34 145645,60,00


29284,42,23 35725,85,13 38677,64,14 41782,36,65 46472,76,94 59943,44,64
16976,73,86 21218,06,48 25811,92,98 33307,15,39 40363,79,25 66058,41,00
121586,95,74 144012,54,86 161871,39,48 181893,01,25 200495,06,53 271647,45,64

14104,98,49 10891,17,17 13101,57,20 9950,65,37 10484,10,26 -6547,45,37


33,93 33,93 32,48 32,48 31,68 31,68
- -6407,68,97
14105,32,42 10891,51,10 13101,89,68 9950,97,85 10484,41,94 -12954,82,66

4417,86,08 3339,61,91 4029,07,98 2985,19,61 3145,23,08 -


19,16,96 216,75,30 105,50,44 345,27,46 1493,38,64 3288,87,88
6453,26,04 4796,63,50 5889,05,56 4267,35,10 3430,54,64 -1165,13,68
1,45 - 80 -
2838,74,09 2018,32,20 2108,56,29
1119,85,96 -
1119,85,96 2648,17,28
375,95,32 298,44,54 429,75,94 334,51,00 306,37,61
33,93 32,48 32,48 31,68 31,68 -15078,56,86
14105,32,42 10891,51,10 13101,89,68 9950,97,85 10484,41,94 -12954,82,66
` 210.06 ` 15.68 ` 17.55 ` 12.98 ` 13.43 ` -7.67
` 210.06 ` 15.68 ` 17.55 ` 12.98 ` 13.43 ` -7.67
Mar 19 Mar 20 Mar 21 Mar 22

242868,65,35
36774,88,78
279643,54,13

154519,77,80
69687,73,74
54573,79,61
278781,31,15

862,22,98
-15078,56,86
-
-14216,33,88

258,66,89
379,20,76
371,84,01

-15226,05,54
-14216,33,88
` 0.97
` 0.97
State Bank of India(SBIN)
in Crore INR
Mar 12

CAPITAL AND LIABILITIES


Capital 671,04,48
Reserves & Surplus 83280,16,10
Deposits 1043647,36,23
Borrowings 127005,56,80
Other Liabilities and Provisions 80915,09,46
TOTAL 1335519,23,07
ASSETS
Cash and Balances with Reserve Bank of India 54075,93,86
Balances with Banks and money at call and short notice 43087,22,63
Investments 312197,61,03
Advances 867578,89,01
Fixed Assets 5466,54,92
Other Assets 53113,01,62
TOTAL 1335519,23,07
Contingent Liabilities 832605,33,43
Bills for Collection 66959,85,00
Mar 13 Mar 14 Mar 15 Mar 16 Mar 17 Mar 18 Mar 19

684,03,40 746,57,31 746,57,31 776,27,77 797,35,04 892,45,88 892,46,12


98199,65,14 117535,67,65 127691,65,34 143498,15,83 187488,71,22 218236,10,15 220021,36,33
1202739,57,43 1394408,50,48 1576793,24,50 1730722,43,61 2044751,39,47 2706343,28,50 2911386,01,07
169182,71,36 183130,88,26 205150,29,26 323344,58,61 317693,65,83 362142,07,45 403017,11,82
95455,06,70 96926,65,38 137698,03,57 159276,08,09 155235,18,85 167138,07,68 145597,29,55
1566261,04,03 1792748,29,08 2048079,79,98 2357617,53,91 2705966,30,41 3454751,99,66 3680914,24,89

65830,41,04 84955,66,05 115883,84,35 129629,32,53 127997,61,77 150397,18,14 176932,41,75


48989,75,41 47593,97,22 58977,46,02 37838,33,12 43974,03,21 41501,46,05 45557,69,40
350927,27,16 398799,57,13 495027,39,52 575651,78,28 765989,63,09 1060986,71,50 967021,94,75
1045616,55,31 1209828,71,92 1300026,39,29 1463700,41,75 1571078,38,11 1934880,18,91 2185876,91,77
7005,02,22 8002,15,51 9329,16,42 10389,27,72 42918,91,79 39992,25,11 39197,56,94
47892,02,89 43568,21,25 68835,54,38 140408,40,51 154007,72,44 226994,19,95 266327,70,28
1566261,04,03 1792748,29,08 2048079,79,98 2357617,53,91 2705966,30,41 3454751,99,66 3680914,24,89
926378,90,86 1017329,95,45 1000627,25,78 971956,00,58 1046440,93,19 1162020,69,30 1116081,45,94
66639,54,09 74028,41,81 92795,24,84 92211,64,83 65640,42,04 74027,90,24 70022,53,97
Mar 20 Mar 21 Mar 22
State Bank of India(SBIN)
in Crore INR
Mar 12

A. I. Bills purchased and discounted 908936364


II. Cash Credits Overdrafts and Loans Repayable on demand 4984812077
III. Term loans 5742953613
TOTAL 11636702054
B. I. Secured by tangible assets (includes advances against Book Debts) 8754651810
II. Covered by Bank/ Government Guarantees 863329633
III. Unsecured 2018720611
TOTAL 11636702054
C. I. Advances in India
(i) Priority Sector 3457800673
(ii) Public Sector 720395104
(iii) Banks 3395880
(iv) Others 6027234835
TOTAL 10208826492
II. Advances outside India
(i) Due from banks 171717050
(ii) Due from others
(a) Bills purchased and discounted 216233773
(b) Syndicated loans 493391618
(c) Others 546533121
TOTAL 1427875562
GRAND TOTAL [C (I) and C (II)] 11636702054
Mar 13 Mar 14 Mar 15 Mar 16 Mar 17 Mar 18

1020443937 1059043341 793906001 1059043341 793906001 687673605


6153491344 7681390240 7532286148 7681390240 7532286148 7585504115
6752145052 9962175347 10642676052 9962175347 10642676052 11328007631
13926080333 18702608928 18968868201 18702608928 18968868201 19601185351
10718864408 14494641129 14958993242 14494641129 14958993242 15158599323
1005828289 654072851 824095015 654072851 824095015 688125075
2201387636 654072851 318577 9944 3553894948 318577 9944 3754460953
13926080333 654072851 18968868201 18702608928 18968868201 19601185351

3759627900 4750380097 4710768362 4750380097 4710768362 4483589560


736369026 1631260225 1318848737 1631260225 1318848737 1619392446
8926487 25417587 26417442 25417587 26417442 32800787
7654982260 9526333109 9930051278 9526333109 9930051278 10318964162
12159905673 15933391018 15986085819 15933391018 15986085819 16454746955

329723489 717507287 878926943 717507287 878926943 771096356

212295672 152989544 117192254 152989544 117192254 146680147


585316140 922394949 1050522985 922394949 1050522985 1245117500
638839359 976326130 936140200 976326130 936140200 983544393
1766174660 2769217910 2982782382 2769217910 2982782382 3146438396
13926080333 18702608928 18968868201 18702608928 18968868201 19601185351
Mar 19 Mar 20 Mar 21 Mar 22

815283741
7992180333
13461072598
22268536672
16036542187
802896646
5429097839
22268536672

5207297760
2402958939
94949360
11275852483
18981058542

698028572

267410657
1507658872
814380029
3287478130
22268536672
State Bank of India(SBIN)
in Crore INR
Mar 12

CASH FLOW FROM OPERATING ACTIVITIES:


Net Profit / (loss) before Taxes 23982,59,19
Adjustments for:
Depreciation on Fixed Assets 1371,60,74
(Profit)/Loss on sale of Fixed Assets (Net) 47,01,40
(Profit)/Loss on revaluation of Investments (Net) 583,26,05
(Profit)/Loss on sale of Investments in Subsidiaries / Joint Ventures / Associates 1369,65,79
Provision for diminution in fair value & Non Performing Assets 14209,97,61
Provision on Standard Assets 1304,75,75
Provision for depreciation on Investments 875,18,08
Other provisions including provision for contingencies -145,47,34
Share in Profit of Associates (Investing Activity)
Income from Investment in Subsidiaries / Joint Ventures / Associates -146,14,16
Interest on Capital Instruments 4584,94,51
Deferred Revenue Expenditure written off during the year 12,85,34
SUB TOTAL 48050,22,96
Adjustments for:
Increase/(Decrease) in Deposits 159126,91,68
Increase/ (Decrease) in Borrowings other than Capital Instruments 13953,09,73
(Increase)/ Decrease in Investments other than Investments in Subsidiaries / Joint Ventu-44585,14,78
(Increase)/ Decrease in Advances -171478,63,02
Increase/ (Decrease) in Other Liabilities -16803,43,81
(Increase)/ Decrease in Other Assets -7659,12,12
Reduction in FCTR on disposal of investments in non-integral Operations
SUB TOTAL -19396,09,36
Tax refund/ (Taxes paid ) -10718,04,52
NET CASH GENERATED FROM/ (USED IN) OPERATING ACTIVITIES -30114,13,88

CASH FLOW FROM INVESTING ACTIVITIES:


(Increase)/ Decrease in Investments in Subsidiaries / Joint Ventures / Associates -125,64,00
Profit/(Loss) on sale of Investments in Subsidiaries / Joint Ventures / Associates 146,14,16
Income from Investment in Subsidiaries / Joint Ventures / Associates -2339,75,41
(Increase)/ Decrease in Fixed Assets
(Increase)/Decrease in Goodwill on Consolidation
Cash paid to shareholders of erstwhile Domestic Banking Subsidiaries & Bhartiya Mahila Bank towards fractional enti
NET CASH GENERATED FROM/ (USED IN) INVESTING ACTIVITIES -2319,25,25
CASH FLOW FROM FINANCING ACTIVITIES:
Proceeds from issue of equity shares including share premium (Net of Share issue expen7891,30,87
Share Application Money pending allotment received
Issue/(Redemption) of Capital Instruments (Net) 1175,15,60
Repayment of Capital Instrument -
Interest on Capital Instruments -4584,94,51
Dividend paid including tax thereon -2151,43,88
Dividends tax paid by subsidiaries/jvs -121,23,54
Increase/(Decrease) in Minority Interest
NET CASH GENERATED FROM/ (USED IN) FINANCING ACTIVITIES C 2208,84,54
EFFECT OF EXCHANGE FLUCTUATION ON TRANSLATION D RESERVE 2487,91,96
CASH & CASH EQUIVALENTS RECEIVED ON ACCOUNT OF E MERGER OF DOMESTIC BANKING SUBSIDIARIES & BHARTI
NET INCREASE/(DECREASE) IN CASH & CASH EQUIVALENTS -27736,62,63
CASH AND CASH EQUIVALENTS AT BEGINNING OF THE YEAR 155327,45,48
CASH AND CASH EQUIVALENTS AT END OF THE YEAR 127590,82,85

Note:
(1) Components of Cash & Cash Equivalents as at:
Cash & Balance with RBI
Balances with Banks and money at call & short notice
Mar 13 Mar 14 Mar 15 Mar 16 Mar 17 Mar 18

25475,05,21 21009,84,23 25331,49,77 13774,05,74 14855,16,27 -15528,24,16

1577,49,23 1942,42,53 1581,49,38 1700,30,45 2293,30,96 2919,46,63


40,53,82 46,23,72 51,28,58 16,69,37 37,05,49 30,03,00
-2861,82,55 55,13,96 - 151,67,43 - 1120,61,02
-594,91,28 -1882,38,03 -1786,05,64 -108,00,00 -1755,00,00 -5639,89,81
14906,55,70 18337,29,64 21574,53,58 26984,14,36 32246,69,15 70680,23,69
1090,70,76 1568,87,36 2918,47,70 2157,54,91 2499,64,29 -3603,66,16
-950,11,72 876,27,38 -663,06,38 149,55,88 298,39,39 8087,57,43
-6,83,56 -11,19,91 578,33,91 192,49,87 948,00,40 -124,95,17
-317,73,35 -314,44,18
-244,54,53 -2,28,75 -17,38,47 -475,82,57 -688,35,40 -448,51,70
4706,74,29 4776,41,04 4894,70,92 3722,80,38 4195,23,59 4472,04,27
78,86,98
43217,72,35 46398,89,82 54149,39,17 48265,45,82 54930,14,14 61964,69,04

212713,21,08 211449,74,46 214108,43,23 153929,19,11 314028,95,86 121022,95,24


45485,85,12 17745,47,76 19761,57,51 112056,76,40 -4640,71,53 42629,85,28
-53953,40,34 -58648,67,47 -113528,30,12 -92600,49,79 -188005,00,05 -136164,12,43
-243844,38,49 -204005,94,91 -135509,18,39 -190658,16,81 -139624,65,51 -136597,79,56
24278,85,49 6851,94,41 45919,41,32 22846,83,70 -7469,50,80 -2214,19,47
642,31,59 11951,54,81 -30981,06,60 -34583,68,76 -18051,26,83 -29086,42,24
-873,92,35 -
28540,16,80 31742,98,88 53920,26,12 18381,97,32 11167,95,28 -78445,04,14
-4442,36,90 -12601,31,18 -7517,36,65 -7185,42,60 -107,63,17 -6980,20,58
24097,79,90 19141,67,70 46402,89,47 11196,54,72 11060,32,11 -85425,24,72

-83,79,38 -140,46,31 1,37,27 -1593,77,02 -2631,24,15 -1104,10,39


244,54,53 108,00,00 1755,00,00 5639,89,81
-3579,99,11 2,28,75 17,38,47 475,82,57 688,35,40 448,51,70
-3178,51,79 -3452,29,40 -2738,42,72 -2960,56,19 -4104,97,78
-219,79,75 3,13,15
towards fractional entitlements consequent to merger -25,18
-3419,23,96 -3536,49,10 -3430,40,51 -3748,37,17 -3148,44,94 879,08,16
3000,34,14 10006,02,70 - 5384,49,57 5674,82,91 23782,45,47
- 2970,00,00
75,13,60 2291,03,50 1142,18,25 5902,84,20 -922,40,00 -12603,22,50
-42,20,00
-4706,74,29 -4776,41,04 -4894,70,92 -3722,80,38 -4195,23,59 -4472,04,27
-2645,16,40 -4508,37,72 -1236,33,43 -3058,65,86 -2337,46,38 -2416,26,71
-104,90,81 -84,50,02 -122,38,00
655,28,97 587,96,68
-4423, 53,76 3583,06,39 -1553,27,42 4505,87,53 -1780,27,06 4290,91,99
1381,87,57 2745,36,88 6,00,95 757,82,36 -1627,60,78 1291,94,79
SUBSIDIARIES & BHARTIYA MAHILA BANK 98890,28,99
17636,89,75 21933,61,87 41425,22,49 12711,87,44 4503,99,33 19926,99,21
127590,82,85 145227,72,60 167161,34,47 154755,78,21 167467,65,65 171971,64,98
145227,72,60 167161,34,47 208586,56,96 167467,65,65 171971,64,98 191898,64,19

129629,32,53 127997,61,77 150397,18,14


37838,33,12 43974,03,21 41501,46,05
167467,65,65 171971,64,98 191898,64,19
Mar 19 Mar 20 Mar 21 Mar 22

1607,48,31

3212,30,65
34,98,24
2124,03,82
-473,12,00
54529,06,14
-74,55,42
-762,09,23
136,12,79

-348,01,18
4112,28,55

64098,50,67

205042,72,57
37722,44,37
94719,11,74
-305525,79,00
-21247,50,61
-33604,14,67

41205,35,07
-6577,83,79
34627,51,28

-2116,29,59
473,12,00
348,01,18
-2663,43,31

-
-3958,59,72
-8,74,21

3033,20,00

-4112,28,55
-

-1087,82,76
1010,38,16
-
30591,46,96
191898,64,19
222490,11,15

176932,41,75
45557,69,40
222490,11,15
State Bank of India(SBIN)
in Crore INR
Mar 12

I. Premises
At cost/revalued as on 31st March of the preceding year 26063169.00
Additions: 4549831.00
- during the year
- for Revaluation
Deductions during the year 59231.00
Depreciation to date: 10517621.00
- on cost
- on Revaluation
20036148.00
II. Other Fixed Assets (including furniture and fixtures)
At cost/revaluation as on 31st March of the preceding year 140299646.00
Additions during the year 23466313.00
Deductions during the year 7300186.00
Depreciation to date 106396734.00
50069039.00
III. Leased Assets
At cost/revalued as on 31st March of the preceding year 9069774.00
Additions during the year 110275.00
Deductions during the year 1999.00
Depreciation to date (including provisions) 8971552.00
206498.00
Less : Lease Adjustment Account 45018.00
161480.00
IV. Assets under Construction (including Premises) 3812984.00
TOTAL (I, II, III and IV ) 74079651.00
Mar 13 Mar 14 Mar 15 Mar 16 Mar 17 Mar 18

30553769.00 37894033.00 43235156.00 46721665.00 65051356.00 421075659.00


7438448.00 5844050.00 3551236.00
3670563.00 10483609.00 1190688.00
14683064.00 345587773.00 -
33564.00 502927.00 64727.00 23936.00 47079.00 112934010.00
11777385.00 13003224.00 5720106.00
6298093.00 7312894.00 6668616.00
425095.00 3848711.00 3086678.00
26181268.00 30231932.00 41001559.00 58328168.00 409914054.00 299577043.00

156465773.00 177966321.00 204739421.00 231923420.00 257468421.00 285124279.00


30644493.00 36035804.00 37041433.00 30567625.00 33395538.00 41651752.00
8391439.00 9262704.00 9858789.00 5022624.00 5735187.00 10283084.00
118194562.00 132868716.00 153321526.00 171259543.00 192696313.00 213597423.00
60524265.00 71870705.00 78600539.00 86208878.00 92432459.00 102895524.00

9178050.00 8917173.00 3435590.00 3298342.00 1225166.00 1173881.00


123001.00 17847.00 118599.00 20922.00 93935.00 68552.00
200383.00 5499430.00 254492.00 2094098.00 145220.00 42213.00
8826221.00 3266101.00 3064984.00 1015299.00 1015140.00 665550.00
274447.00 169489.00 234713.00 209867.00 158741.00 534670.00
45018.00 47045.00 47045 47045.00 47045.00 534670.00
229429.00 122444.00 187668.00 162822.00 111696.00
6764294.00 3372729.00 4003186.00 7856960.00 6949168.00 9250689.00
93699256.00 105597810.00 123792952.00 152556828.00 509407377.00 412257926.00
Mar 19 Mar 20 Mar 21 Mar 22

309332337.00

7073492.00
-
396068.00

7937167.00
4971797.00
303100797.00

316492947.00
30180652.00
14819284.00
236277326.00
95576989.00

1200220.00
356465.00
5763.00
821157.00
729765.00
729765.00

7622975.00
407030526.00
State Bank of India(SBIN)
in Crore INR
Mar 12

I. Investments in India in :
(i) Government Securities 360054,56,37
(ii) Other Approved Securities 2089,18,54
(iii) Shares 24834,64,64
(iv) Debentures and Bonds 23517,79,87
(v) Subsidiary and Associates 1265,46,97
(vi) Others (Units of Mutual Funds, Commercial Papers etc.) 37449,90,11
TOTAL 449211,56,50
II. Investments outside India in :
(i) Government Securities (including local authorities) 3531,20,41
(ii) Associates 62,13,60
(iii) Other Investments (Shares, Debentures, etc.) 8144,23,26
TOTAL 11737,57,27
GRAND TOTAL (I and II) 460949,13,77
III. Investments in India :
(i) Gross Value of Investments 451425,98,03
(ii) Less: Aggregate of Provisions / Depreciation 2214,41,53
Net Investments (vide I above) 449211,56,50
IV. Investments outside India :
(i) Gross Value of Investments 12012,89,05
(ii) Less: Aggregate of Provisions / Depreciation 275,31,78
Net Investments (vide II above) 11737,57,27
GRAND TOTAL (III and IV) 460949,13,77
Mar 13 Mar 14 Mar 15 Mar 16 Mar 17 Mar 18

391862,07,81 436532,69,44 517554,20,64 635075,24,22 778210,37,55 898369,89,37


2871,56,85 3759,91,70 3516,13,23 3759,80,59 7423,43,57 9203,62,94
24444,08,86 26319,05,18 27460,41,25 22921,99,08 30156,08,39 36902,41,97
40324,26,62 40790,35,74 49626,98,14 61372,52,22 84954,01,86 108220,08,31
1572,37,89 1967,24,65 2283,02,14 2456,08,15 2731,15,94 3061,30,04
46995,29,59 45179,10,92 64138,93,78 41525,68,15 81382,11,01 80682,84,64
508069,67,62 554548,37,63 664579,69,18 767111,32,41 984857,18,32 1136440,17,27

4569,61,80 5690,15,04 7937,53,43 12291,86,27 10926,92,52 13318,89,79


70,69,84 78,88,78 76,18,20 91,26,16 110,56,19 113,74,52
6683,19,78 19083,84,76 23098,34,45 27880,13,46 31386,19,87 33921,42,61
11323,51,42 24852,88,58 31112,06,08 40263,25,89 42423,68,58 47354,06,92
519393,19,04 579401,26,21 695691,75,26 807374,58,30 1027280,86,90 1183794,24,19

509328,18,84 555622,50,80 665042,15,06 768901,72,04 987835,48,02 1148190,17,89


1258,51,22 1074,13,17 462,45,88 1790,39,63 2978,29,70 11750,00,62
508069,67,62 554548,37,63 664579,69,18 767111,32,41 984857,18,32 1136440,17,27

11463,00,51 25766,10,47 31448,21,49 40360,83,74 42524,45,77 47900,20,34


139,49,09 913,21,89 336,15,41 97,57,85 100,77,19 546,13,42
11323,51,42 24852,88,58 31112,06,08 40263,25,89 42423,68,58 47354,06,92
519393,19,04 579401,26,21 695691,75,26 807374,58,30 1027280,86,90 1183794,24,19
Mar 19 Mar 20 Mar 21 Mar 22

817674,70,52
13769,53,82
42825,92,12
123765,40,08
3383,71,53
63880,18,56
1065299,46,63

14513,99,84
136,33,52
39297,96,63
53948,29,99
1119247,76,62

1076593,00,40
11293,53,77
1065299,46,63

54146,46,58
198,16,59
53948,29,99
1119247,76,62
State Bank of India(SBIN)
in Crore INR
Mar 12

A. I. Demand Deposits
(i) From Banks 6969,88,04
(ii) From Others 91480,43,79
II. Savings Bank Deposits 369156,31,01
III. Term Deposits
(i) From Banks 17405,94,82
(ii) From Others 558634,78,57
TOTAL 1043647,36,23
B I. Deposits of Branches in India 982214,07,48
II. Deposits of Branches outside India 61433,28,75
TOTAL 1043647,36,23
Mar 13 Mar 14 Mar 15 Mar 16 Mar 17 Mar 18

7345,35,39 6041,38,80 5941,51,45 5735,58,63 5507,43,88 5326,82,76


105334,91,78 107191,08,49 118630,78,84 134071,44,66 146913,66,68 184847,05,92
426383,11,88 485167,93,49 527332,81,84 597746,06,02 758961,38,54 1013774,47,09

27855,66,19 34117,68,40 9179,86,77 6818,59,65 19561,05,68 15218,78,64


635820,52,19 761890,41,30 915708,25,60 986350,74,65 1113807,84,69 1487176,14,09
1202739,57,43 1394408,50,48 1576793,24,50 1730722,43,61 2044751,39,47 2706343,28,50
1130136,60,70 1305983,94,89 1487236,32,78 1636424,58,65 1953300,08,27 2599393,43,21
72602,96,73 88424,55,59 89556,91,72 94297,84,96 91451,31,20 106949,85,29
1202739,57,43 1394408,50,48 1576793,24,50 1730722,43,61 2044751,39,47 2706343,28,50
Mar 19 Mar 20 Mar 21 Mar 22

6894,62,06
198980,62,74
1091751,97,36

8234,15,28
1605524,63,63
2911386,01,07
2814243,42,48
97142,58,59
2911386,01,07
State Bank of India(SBIN)
in Crore INR
Mar 12

I. Statutory Reserves
Opening Balance 38996,30,40
Additions during the year 4453,66,87
Deductions during the year –
43449,97,27
II. Capital Reserves
Opening Balance 2092,59,31
Additions during the year 32,85,04
Deductions during the year –
2125,44,35
III. Share Premium
Opening Balance 20658,58,29
Additions during the year 7864,05,01
Deductions during the year 8,78,72
28513,84,58
IV. Foreign Currency Translation Reserve
Opening Balance 749,92,64
Additions during the year 2095,57,92
Deductions during the year –
2845,50,56
V. Revenue and Other Reserves*
Opening Balance 19815,92,40
Additions during the year 7935,25,66
Deductions during the year 19,72,14
27731,45,92

VI. Revaluation Reserve


Opening Balance
Additions during the year
Deductions during the year

VII. Balance of Profit and Loss Account 892,74,17

*        Note: Revenue and Other Reserves include


Integration and Development Fund (maintained under Section 36 of the State Bank of India Act, 1955)
(ii)     Special Reserve under Section 36(1)
(viii) of the Income Tax Act, 1961
(iii)    Investment Reserves Current Year
TOTAL 105558,96,85
Mar 13 Mar 14 Mar 15 Mar 16 Mar 17 Mar 18
` ` `

43449,97,27 40470,71,09 43810,33,00 47839,40,98 50824,60,59 53969,83,67


5371,47,28 3339,61,91 4029,07,98 2985,19,61 3145,23,08 11367,14,70
– - - - - -
48821,44,55 43810,33,00 47839,40,98 50824,60,59 53969,83,67 65336,98,37

2125,44,35 1527,25,75 1744,01,05 1849,51,49 2194,78,95 3688,17,59


87,62,49 216,75,30 105,50,44 345,27,46 1493,38,64 5703,48,29
– - - - - -
2213,06,84 1744,01,05 1849,51,49 2194,78,95 3688,17,59 9391,65,88

28513,84,58 31501,19,81 41444,68,60 41444,68,60 49769,47,71 55423,23,36


2991,08,00 9969,10,90 - 8333,44,99 5659,92,72 23718,58,11
3,72,77 25,62,11 - 8,65,88 6,17,07 17,59,96
31501,19,81 41444,68,60 41444,68,60 49769,47,71 55423,23,36 79124,21,51

2845,50,56 3475,33,39 6040,01,00 6172,34,71 6056,24,72 4428,63,94


1168,82,55 2564,67,61 158,29,42 757,82,36 - 1482,65,84
– - 25,95,71 873,92,35 1627,60,78 190,71,05
4014,33,11 6040,01,00 6172,34,71 6056,24,72 4428,63,94 5720,58,73

27731,45,92 21224,81,17 24496,31,52 30385,37,08 34652,72,18 38392,85,99


8682,21,22 4796,63,50 5889,05,56 4267,35,10 3740,13,81 14888,94,48
37,26,62 1525,13,15 - - - 4388,56,60
36376,40,52 24496,31,52 30385,37,08 34652,72,18 38392,85,99 48893,23,87

- - 31585,64,99
- 31895,24,17 4670,63,97
- 309,59,18 11408,30,31
- 31585,64,99 24847,98,65
1422,53,94 32,48 32,48 31,68 31,68 -15078,56,86
124348,98,77 117535,67,65 127691,65,34 143498,15,83 187488,71,22 218236,10,15
Mar 19 Mar 20 Mar 21 Mar 22
`

65336,98,37
258,66,89
-
65595,65,26

9391,65,88
379,20,76
-
9770,86,64

79124,21,51
37,92
9,12,38
79115,47,05

5720,58,73
1077,13,19
66,75,03
6730,96,89

48893,23,87
563,88,56
76,60,48
49380,51,95

24847,98,65

194,04,57
24653,94,08
-15226,05,54
220021,36,33
State Bank of India(SBIN)
in Crore INR
Mar 12

I. Borrowings in India
(i) Reserve Bank of India -
(ii) Other Banks 50481002
(iii) Other Institutions and Agencies 38139775
(iv) Capital Instruments :
a. Innovative Perpetual Debt Instruments (IPDI) 21650000
b. Subordinated Debt & Bonds 346713960
TOTAL 456984737
II. Borrowings outside India
(i) Borrowings and Refinance outside India 781273319
(ii) Capital Instruments :
a. Innovative Perpetual Debt Instruments (IPDI) 31797624
b. Subordinated Debt & Bonds

TOTAL 813070943
GRAND TOTAL (I & II) 1270055680
Secured Borrowings included in I & II above 44783942
Mar 13 Mar 14 Mar 15 Mar 16 Mar 17 Mar 18

144761600 172926300 57987500 1065767900 50000000 953940900


56488507 26628015 35793947 36867687 43761742 48222161
48944003 264811318 187614507 105475098 719126274 43702349

21650000 38900000 38900000 38497260 115050000 118350000


346713960 469616120 47929812 538736380 420707640 336656640
618558070 972881753 799594074 1785344325 1348645656 1500872050

1039340941 1226768467 1607353897 1786614805 1954399742 2169743838

33928125 37446875 39062500 41409375 59986250 19552500


500000 624200 625400 625000 625000

1073269066 1264715342 1647040597 1828649580 2015010992 2189921338


1691827136 2237597095 2446634671 3613993905 3363656648 3690793388
52442068 116133253 135957997 1167764733 794268927 1083848297
Mar 19 Mar 20 Mar 21 Mar 22

960890000
47410531
321124632

191523000
291539390
1812487553

2299091307

20746500
5151250

2324989057
4137476610
4137476610

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