Wall Street Experts

HDFC Bank Limited

Bilans kwartalnie



dane w mln

index 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40 41 42
Rok finansowy 2014 2014 2014 2014 2015 2015 2015 2015 2016 2016 2016 2016 2017 2017 2017 2017 2018 2018 2019 2018 2019 2019 2019 2019 2020 2020 2020 2020 2021 2021 2021 2021 2022 2022 2022 2022 2023 2023 2023 2023 2024 2025 2025
Kwartał Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3
Aktywa 4 913 597.0 5 320 162.0 5 348 551.9 6 259 015.8 6 293 222.6 6 892 975.9 6 878 918.9 7 736 723.3 7 551 000.8 8 246 333.0 8 280 196.9 9 066 980.5 8 956 530.6 9 972 895.7 9 490 794.0 11 367 308.8 10 804 090.9 12 357 250.6 12 135 679.8 13 280 073.6 12 652 528.5 13 962 925.7 13 953 356.2 15 308 524.1 15 962 523.5 16 619 208.3 17 066 953.7 17 995 066.3 18 053 098.7 18 976 758.2 19 902 703.6 21 229 343.0 21 648 584.4 23 030 048.3 0.0 25 755 624.0 25 708 775.7 37 813 470.8 38 818 257.4 40 358 265.2 40 065 379.4 41 517 879.3 42 281 803.7
Aktywa trwałe 1 266 051.4 1 261 257.2 1 369 162.6 1 674 011.4 1 755 670.6 1 852 472.5 1 855 845.6 2 061 167.9 2 098 159.7 2 205 901.4 2 395 458.2 2 260 658.5 2 197 014.8 2 528 102.4 2 362 260.3 2 504 131.9 2 792 548.0 3 036 106.7 11 563 700.0 3 016 990.2 3 025 295.1 3 196 913.4 3 155 824.1 3 895 274.6 3 819 207.9 4 248 404.6 4 164 123.1 4 567 651.2 4 358 318.9 199 280.2 18 191 103.1 19 540 270.2 20 475 684.0 5 143 616.4 0.0 5 267 172.0 5 701 841.6 35 862 157.2 9 742 767.4 37 803 784.8 38 154 297.9 38 854 025.4 39 970 369.3
Rzeczowe aktywa trwałe netto 29 173.8 31 099.3 29 353.0 33 355.9 31 733.6 34 249.1 32 394.6 35 679.7 34 768.8 37 557.0 34 903.2 38 969.3 35 932.1 38 143.5 35 024.5 38 968.1 35 761.5 40 900.8 40 561.1 43 187.8 40 262.7 44 615.3 42 882.9 44 319.1 46 620.5 50 354.2 49 671.1 50 995.6 51 865.7 56 133.5 56 547.8 62 832.8 65 041.6 70 771.3 0.0 177 559.0 87 453.2 112 605.1 115 223.6 126 037.6 132 935.1 141 706.3 142 998.3
Wartość firmy 74 937.9 74 937.9 1 871.6 74 937.9 74 937.9 74 937.9 1 871.6 74 937.9 74 937.9 74 937.9 1 850.0 74 937.9 74 937.9 74 937.9 1 487.9 74 937.9 0.0 74 937.9 0.0 74 937.9 0.0 74 937.9 0.0 74 937.9 0.0 74 937.9 0.0 74 937.9 0.0 74 937.9 1 487.9 1 487.9 1 487.9 74 937.9 0.0 74 937.9 1 487.9 0.0 0.0 0.0 0.0 0.0 0.0
Wartości niematerialne i prawne 20.5 20.5 0.0 12.0 8.5 8.5 0.0 5.0 3.5 3.5 0.0 2.0 1.5 1.5 0.0 1.0 0.0 0.5 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 1 487.9 0.0 16 754.4 1 487.9 0.0 0.0 0.0 0.0 0.0 0.0
Wartość firmy i wartości niematerialne i prawne 74 958.4 74 958.4 1 871.6 74 949.9 74 946.4 74 946.4 1 871.6 74 942.9 74 941.4 74 941.4 1 850.0 74 939.9 74 939.4 74 939.4 1 487.9 74 938.9 0.0 74 938.4 0.0 74 937.9 0.0 74 937.9 0.0 74 937.9 0.0 74 937.9 0.0 74 937.9 0.0 74 937.9 1 487.9 1 487.9 1 487.9 74 937.9 0.0 74 937.9 1 487.9 0.0 0.0 35 736 304.6 0.0 0.0 0.0
Należności netto 0.0 40 371.2 0.0 72 900.5 0.0 54 169.8 0.0 92 838.3 0.0 62 716.8 0.0 104 077.4 0.0 80 978.6 0.0 119 099.1 0.0 92 666.7 0.0 161 283.0 0.0 100 889.9 0.0 405 517.0 0.0 120 277.5 0.0 204 362.3 0.0 124 456.0 0.0 0.0 0.0 159 624.6 0.0 330 757.6 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Inwestycje długoterminowe 1 236 877.6 1 155 199.5 1 339 809.6 1 565 705.6 1 723 937.0 1 743 277.0 1 823 451.0 1 950 545.3 2 063 390.9 2 093 403.0 2 360 555.0 2 146 749.3 2 161 082.7 2 415 019.5 2 327 235.8 2 390 224.9 2 756 786.5 2 920 267.5 0.0 2 898 864.5 2 985 032.4 3 077 360.2 3 112 941.2 3 918 266.6 3 772 587.4 4 123 112.5 4 114 452.0 4 388 231.1 4 306 453.2 4 108 454.8 0.0 18 713 441.0 0.0 4 997 907.2 0.0 5 014 675.1 5 612 900.5 9 924 112.1 9 627 543.8 2 000.0 10 304 764.5 0.0 0.0
Aktywa obrotowe 300 940.5 4 058 904.8 330 387.7 4 585 004.4 386 716.2 5 040 503.4 326 119.9 5 675 555.4 402 872.2 6 040 431.6 541 023.2 6 806 322.0 569 705.9 7 444 793.3 400 075.1 8 863 176.9 514 938.6 9 321 143.9 571 979.8 10 263 083.4 841 679.3 10 766 012.3 1 024 061.2 12 066 614.5 1 104 540.2 12 370 803.7 1 068 966.1 13 412 130.8 1 223 041.9 215 909.6 1 711 600.5 1 689 072.8 1 172 900.4 6 120 002.8 0.0 7 573 521.8 1 640 181.9 1 951 313.6 1 859 521.3 2 554 480.4 1 911 081.5 2 663 853.9 2 311 434.4
Środki pieniężne i Inwestycje 300 940.5 1 539 836.3 330 387.7 2 019 758.7 386 716.2 2 164 945.1 326 119.9 2 409 882.7 402 872.2 2 580 188.8 541 023.2 2 678 098.2 569 705.9 2 874 164.8 400 075.1 2 941 742.0 514 938.6 3 292 356.7 0.0 3 488 762.3 841 679.3 3 598 496.6 1 024 061.2 4 133 033.3 1 104 540.2 4 564 937.6 1 068 966.1 5 316 832.7 1 223 041.9 215 909.6 1 711 600.5 365 945.3 1 172 900.4 5 960 378.2 0.0 7 242 764.2 1 640 181.9 1 951 313.6 1 859 521.3 2 288 345.1 (1 911 081.5) 0.0 2 311 434.4
Zapasy 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 (1 838 783.9) 0.0 0.0 0.0 (1 047 228.6) 0.0 (2 158 847.8) 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Inwestycje krótkoterminowe 0.0 1 118 027.0 0.0 1 504 412.8 0.0 1 686 742.8 0.0 1 878 684.4 0.0 2 055 330.4 0.0 2 111 385.6 0.0 2 292 864.2 0.0 2 222 711.0 0.0 2 753 865.1 0.0 2 633 348.4 0.0 2 871 441.1 0.0 3 406 289.2 0.0 4 006 859.0 0.0 4 275 449.9 0.0 4 057 756.9 0.0 0.0 0.0 4 947 132.8 0.0 4 878 844.0 0.0 0.0 0.0 0.0 (3 822 163.0) 0.0 0.0
Środki pieniężne i inne aktywa pieniężne 300 940.5 421 809.3 330 387.7 515 345.9 386 716.2 478 202.3 326 119.9 531 198.3 402 872.2 524 858.4 541 023.2 566 712.6 569 705.9 581 300.6 400 075.1 719 031.0 514 938.6 538 491.6 0.0 855 413.9 841 679.3 727 055.5 1 024 061.2 866 187.2 1 104 540.2 558 078.6 1 068 966.1 1 212 725.1 1 223 041.9 757 914.4 1 711 600.5 365 945.3 1 172 900.4 1 013 245.4 0.0 2 363 920.2 1 640 181.9 1 951 313.6 1 859 521.3 2 288 345.1 1 911 081.5 0.0 2 311 434.4
Należności krótkoterminowe 0.0 38 870.5 0.0 120 328.4 0.0 50 246.6 0.0 151 150.7 0.0 55 400.8 0.0 259 029.9 0.0 67 785.2 0.0 254 242.3 0.0 78 669.2 0.0 237 989.4 0.0 84 393.7 0.0 259 302.3 0.0 83 261.9 0.0 346 038.0 0.0 76 974.1 0.0 0.0 0.0 89 380.3 0.0 437 291.1 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Dług krótkoterminowy 0.0 104 571.9 0.0 214 191.9 0.0 225 475.5 0.0 253 562.4 0.0 244 265.7 0.0 322 265.6 0.0 545 533.3 0.0 779 201.7 0.0 601 797.5 0.0 654 058.0 0.0 427 236.3 0.0 377 417.6 0.0 260 056.4 0.0 239 264.1 0.0 420 506.5 0.0 55 508.3 0.0 952 979.8 0.0 1 089 897.5 0.0 0.0 0.0 37 047.4 0.0 0.0 0.0
Zobowiązania krótkoterminowe 239 238.4 143 442.4 33 697.0 334 520.3 269 503.0 275 722.1 40 977.0 404 713.1 283 806.3 299 666.5 45 914.5 581 295.5 382 565.2 613 318.5 66 759.8 1 033 444.0 0.0 680 466.7 0.0 892 047.4 0.0 511 630.0 0.0 636 719.9 0.0 343 318.3 0.0 585 302.1 0.0 497 480.6 0.0 7 712 772.8 0.0 1 042 360.1 0.0 1 527 188.6 0.0 0.0 0.0 9 443 063.8 0.0 0.0 0.0
Rozliczenia międzyokresowe 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Zobowiązania długoterminowe 386 181.8 406 221.4 396 585.2 470 900.7 469 429.6 457 438.9 600 351.0 527 249.2 689 000.5 754 016.7 721 211.5 730 920.7 860 117.0 920 967.7 1 038 667.8 932 906.3 1 210 243.1 1 051 968.5 0.0 1 044 553.0 1 008 941.2 953 447.3 1 132 772.0 1 092 133.4 1 596 812.3 1 022 511.0 1 621 462.4 1 245 180.2 1 725 908.0 1 166 334.1 17 531 370.7 11 036 104.4 19 061 882.4 1 440 287.5 0.0 2 152 095.3 2 635 474.7 33 500 122.6 7 996 598.5 26 217 414.9 35 163 080.6 0.0 37 100 322.2
Rezerwy z tytułu odroczonego podatku 0.0 0.0 0.0 (4 809 328.7) 0.0 0.0 0.0 (5 799 159.2) 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 56 322.6 0.0 0.0 0.0
Zobowiązania długoterminowe 386 181.8 406 221.4 396 585.2 470 900.7 469 429.6 457 438.9 600 351.0 527 249.2 689 000.5 754 016.7 721 211.5 730 920.7 860 117.0 920 967.7 1 038 667.8 932 906.3 1 210 243.1 1 051 968.5 0.0 1 044 553.0 1 008 941.2 953 447.3 1 132 772.0 1 092 133.4 1 596 812.3 1 022 511.0 1 621 462.4 1 245 180.2 1 725 908.0 1 166 334.1 17 531 370.7 11 036 104.4 19 061 882.4 1 440 287.5 0.0 2 152 095.3 2 635 474.7 33 500 122.6 7 996 598.5 26 217 414.9 35 163 080.6 0.0 37 100 322.2
Zobowiązania z tytułu leasingu 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 65 615.1 0.0 0.0 0.0 70 422.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 97 658.9 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Zobowiązania ogółem 4 453 118.7 4 745 624.9 4 831 824.2 5 507 448.2 5 643 554.9 6 096 257.9 6 158 853.3 6 865 928.1 6 787 345.1 7 297 842.1 7 429 950.0 8 039 079.4 8 013 953.3 8 873 709.3 8 480 168.1 10 190 815.5 9 727 390.2 10 895 310.6 10 660 448.3 11 644 449.0 11 096 147.6 12 228 882.2 12 317 448.6 13 595 252.5 14 120 646.1 14 598 581.9 15 050 930.5 15 890 636.9 15 858 955.9 16 632 337.8 17 531 370.7 18 748 877.2 19 061 882.4 20 419 248.2 0.0 22 837 786.1 2 635 474.7 33 500 122.6 7 996 598.5 35 660 478.7 35 163 080.6 36 545 531.8 37 100 322.2
Kapitał (fundusz) podstawowy 4 815.4 4 828.6 4 834.8 5 013.0 5 022.9 5 036.4 5 050.2 5 056.4 5 070.1 5 091.3 5 110.7 5 125.1 5 147.8 5 168.0 5 180.2 5 190.2 5 208.3 5 434.4 5 439.0 5 446.6 5 465.6 5 470.8 5 477.0 5 483.3 5 490.3 5 503.7 5 507.7 5 512.8 5 526.7 5 537.5 5 542.4 5 545.5 5 554.6 5 570.0 0.0 5 579.7 5 591.8 7 581.8 7 592.5 7 596.9 7 608.1 7 630.8 7 648.3
Zyski zatrzymane 290 665.2 198 781.7 358 704.2 228 804.4 375 163.9 256 528.0 455 557.0 290 542.4 473 291.4 322 792.3 604 945.6 364 471.9 597 553.5 409 066.3 753 719.2 462 876.2 0.0 521 939.2 0.0 587 235.2 0.0 607 519.3 0.0 713 340.6 0.0 818 248.5 0.0 897 873.7 0.0 1 046 371.2 0.0 1 001 263.3 0.0 1 287 776.2 0.0 1 447 784.1 0.0 0.0 0.0 1 371 620.7 0.0 0.0 0.0
Kapitał własny 461 220.4 574 537.1 518 344.0 751 567.6 651 050.5 796 718.0 721 871.8 870 795.2 765 268.4 948 490.9 853 161.3 1 027 901.1 944 626.0 1 099 186.4 1 014 189.2 1 176 493.3 1 076 700.7 1 461 940.0 1 475 231.5 1 635 624.6 1 561 470.8 1 734 043.5 1 641 423.8 1 713 271.6 1 841 877.4 2 020 626.4 2 016 023.2 2 104 429.4 2 194 142.8 2 344 420.4 2 371 332.9 2 480 465.8 2 586 702.0 2 610 800.1 2 631 022.2 2 917 837.9 3 043 605.6 4 313 348.2 4 503 462.6 4 664 886.2 4 902 298.8 4 972 347.5 5 181 481.5
Udziały mniejszościowe 742.1 742.1 1 616.3 1 315.5 1 382.8 1 382.8 1 806.2 1 485.0 1 612.7 1 612.7 2 914.4 1 847.5 2 048.7 2 048.7 3 563.3 2 329.7 0.0 2 483.6 4 872.4 3 049.3 5 089.9 3 204.5 5 516.2 3 411.4 5 917.7 3 540.2 6 159.3 6 327.6 6 445.2 4 012.2 6 904.2 7 204.1 7 487.1 5 064.9 0.0 5 637.2 8 823.2 124 084.4 130 238.0 133 834.0 143 938.3 154 495.9 159 578.6
Pasywa 4 913 597.0 5 320 162.0 5 348 551.9 6 259 015.8 6 293 222.6 6 892 975.9 6 878 918.9 7 736 723.3 7 551 000.8 8 246 333.0 8 280 196.9 9 066 980.5 8 956 530.6 9 972 895.7 9 490 794.0 11 367 308.8 10 804 090.9 12 357 250.6 12 135 679.8 13 280 073.6 12 652 528.5 13 962 925.7 13 953 356.2 15 308 524.1 15 962 523.5 16 619 208.3 17 066 953.7 17 995 066.3 18 053 098.7 18 976 758.2 19 902 703.6 21 229 343.0 21 648 584.4 23 030 048.3 2 631 022.2 25 755 624.0 25 708 775.7 37 813 470.8 38 818 257.4 40 358 265.2 40 065 379.4 41 517 879.3 42 281 803.7
Inwestycje 1 236 877.6 2 273 226.5 1 339 809.6 3 070 118.4 1 723 937.0 3 430 019.8 1 823 451.0 3 829 229.7 2 063 390.9 4 148 733.4 2 360 555.0 4 258 134.9 2 161 082.7 4 707 883.7 2 327 235.8 4 612 935.9 2 756 786.5 5 674 132.6 0.0 5 532 212.9 2 985 032.4 5 948 801.3 3 112 941.2 7 117 541.3 3 772 587.4 8 129 971.5 4 114 452.0 8 650 520.0 4 306 453.2 8 166 211.7 0.0 18 713 441.0 0.0 9 945 040.0 0.0 9 893 519.1 5 612 900.5 9 924 112.1 9 627 543.8 2 000.0 10 304 764.5 0.0 11 517 235.3
Dług 386 181.8 510 793.3 396 585.2 672 126.3 469 429.6 682 914.4 600 351.0 775 875.9 689 000.5 998 282.4 721 211.5 1 053 186.3 860 117.0 1 466 501.0 1 038 667.8 1 712 108.0 1 210 243.1 1 653 766.0 1 617 056.9 1 698 611.0 1 008 941.2 1 380 683.6 1 132 772.0 1 446 285.4 1 596 812.3 1 282 567.4 1 621 462.4 1 776 967.5 1 725 908.0 1 615 994.8 2 324 725.7 2 423 192.2 2 169 461.4 2 393 267.3 0.0 3 241 992.8 2 635 474.7 7 712 272.6 7 996 598.5 7 520 872.8 6 733 542.3 6 660 388.8 6 534 742.5
Środki pieniężne i inne aktywa pieniężne 300 940.5 421 809.3 330 387.7 515 345.9 386 716.2 478 202.3 326 119.9 531 198.3 402 872.2 524 858.4 541 023.2 566 712.6 569 705.9 581 300.6 400 075.1 719 031.0 514 938.6 538 491.6 0.0 855 413.9 841 679.3 727 055.5 1 024 061.2 866 187.2 1 104 540.2 558 078.6 1 068 966.1 1 212 725.1 1 223 041.9 757 914.4 1 711 600.5 365 945.3 1 172 900.4 1 013 245.4 0.0 2 363 920.2 1 640 181.9 1 951 313.6 1 859 521.3 2 288 345.1 1 911 081.5 0.0 2 311 434.4
Dług netto 85 241.3 88 984.0 66 197.5 156 780.4 82 713.4 204 712.1 274 231.1 244 677.6 286 128.3 473 424.0 180 188.3 486 473.7 290 411.1 885 200.4 638 592.7 993 077.0 695 304.5 1 115 274.4 1 617 056.9 843 197.1 167 261.9 653 628.1 108 710.8 580 098.2 492 272.1 724 488.8 552 496.3 564 242.4 502 866.1 858 080.4 613 125.2 2 057 246.9 996 561.0 1 380 021.9 0.0 878 072.6 995 292.8 5 760 959.0 6 137 077.2 5 232 527.7 4 822 460.8 6 660 388.8 4 223 308.1
Ticker HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS HDFCBANK.NS
Waluta INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR INR