US Stock MarketDetailed Quotes

HDB HDFC Bank

Watchlist
  • 66.760
  • -0.740-1.10%
Close Nov 29 13:00 ET
  • 66.760
  • 0.0000.00%
Post 17:01 ET
169.56BMarket Cap21.29P/E (TTM)

HDFC Bank Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q2)Sep 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q2)Sep 30, 2022
(FY)Mar 31, 2022
(Q2)Sep 30, 2021
(FY)Mar 31, 2021
(Q4)Mar 31, 2021
Assets
Cash cash equivalents and federal funds sold
8.06%5.3T
8.06%5.3T
80.64%1.84T
147.41%4.91T
--4.91T
-39.07%1.02T
49.79%1.98T
54.40%1.67T
33.43%1.32T
33.43%1.32T
-Cash and cash equivalents
44.93%3.43T
44.93%3.43T
78.27%1.81T
47.82%2.36T
--2.36T
33.69%1.01T
53.57%1.6T
35.81%757.91B
43.29%1.04T
43.29%1.04T
-Money market investments
-92.49%34.18B
-92.49%34.18B
501.22%34.39B
22.04%455.28B
--455.28B
-99.37%5.72B
38.14%373.05B
74.17%914.52B
8.02%270.06B
8.02%270.06B
-Restricted cash and investments
-11.78%1.84T
-11.78%1.84T
----
20,091.40%2.09T
--2.09T
----
-14.80%10.33B
----
-20.37%12.13B
-20.37%12.13B
Receivables
36.01%379.13B
36.01%379.13B
50.86%240.82B
47.86%278.75B
--278.75B
28.26%159.62B
10.61%188.53B
3.47%124.46B
-55.19%170.45B
-55.19%170.45B
-Accounts receivable
28.48%249.94B
28.48%249.94B
50.86%240.82B
42.52%194.53B
--194.53B
28.26%159.62B
10.35%136.49B
3.47%124.46B
-61.94%123.69B
-61.94%123.69B
-Other receivables
53.40%129.19B
53.40%129.19B
----
61.85%84.22B
--84.22B
----
11.29%52.03B
----
-15.57%46.76B
-15.57%46.76B
Prepaid assets
227.05%233.8B
227.05%233.8B
----
25.46%71.49B
--71.49B
----
30.48%56.98B
----
27.86%43.67B
27.86%43.67B
Net loan
54.44%26.34T
54.44%26.34T
60.62%24.84T
21.49%17.05T
--17.05T
25.11%15.47T
19.97%14.04T
15.11%12.36T
12.23%11.7T
12.23%11.7T
-Gross loan
53.82%26.79T
53.82%26.79T
59.57%25.29T
20.88%17.42T
--17.42T
24.77%15.85T
19.64%14.41T
14.95%12.7T
13.36%12.04T
13.36%12.04T
-Allowance for loans and lease losses
25.24%457.35B
25.24%457.35B
16.67%443.83B
-2.01%365.16B
--365.16B
12.31%380.43B
8.48%372.67B
9.54%338.73B
72.77%343.53B
72.77%343.53B
Securities and investments
145.54%7.28T
145.54%7.28T
72.22%8.61T
-33.23%2.97T
--2.97T
21.65%5T
1.52%4.44T
-0.36%4.11T
17.89%4.38T
17.89%4.38T
-Trading securities
239.57%461.25B
239.57%461.25B
447.52%278B
155.32%135.83B
--135.83B
0.15%50.77B
-46.60%53.2B
-56.39%50.7B
-67.33%99.62B
-67.33%99.62B
-Available for sale securities
1,336.85%317.59B
1,336.85%317.59B
----
--22.1B
--22.1B
----
----
----
----
----
-Short term investments
131.61%6.5T
131.61%6.5T
68.36%8.33T
-36.02%2.81T
--2.81T
21.92%4.95T
2.65%4.39T
1.27%4.06T
25.52%4.28T
25.52%4.28T
Derivative assets
-10.44%109.04B
-10.44%109.04B
----
51.80%121.75B
--121.75B
----
-4.98%80.2B
----
-55.70%84.41B
-55.70%84.41B
Net PPE
51.12%268.33B
51.12%268.33B
87.91%132.99B
29.23%177.56B
--177.56B
26.08%70.77B
16.79%137.4B
11.48%56.13B
7.85%117.64B
7.85%117.64B
-Gross PPE
41.80%431.25B
41.80%431.25B
----
23.11%304.14B
--304.14B
----
14.64%247.04B
----
9.98%215.5B
9.98%215.5B
-Accumulated depreciation
-28.71%-162.92B
-28.71%-162.92B
----
-15.45%-126.58B
---126.58B
----
-12.04%-109.64B
----
-12.67%-97.86B
-12.67%-97.86B
Goodwill and other intangible assets
3,937.51%3.03T
3,937.51%3.03T
3,979.31%3.06T
0.00%74.94B
--74.94B
0.00%74.94B
0.00%74.94B
0.00%74.94B
0.00%74.94B
0.00%74.94B
-Goodwill
2,074.48%1.63T
2,074.48%1.63T
2,098.70%1.65T
0.00%74.94B
--74.94B
0.00%74.94B
0.00%74.94B
0.00%74.94B
0.00%74.94B
0.00%74.94B
-Other intangible assets
--1.4T
--1.4T
--1.41T
----
----
----
----
----
----
----
Other assets
947.60%1.12T
947.60%1.12T
169.38%3.35T
-6.24%107.28B
--107.28B
114.70%1.24T
27.35%114.42B
35.19%578.52B
101.67%89.85B
101.67%89.85B
Total assets
71.30%44.12T
71.30%44.12T
82.66%42.07T
21.99%25.76T
--25.76T
21.36%23.03T
17.43%21.11T
14.19%18.98T
12.64%17.98T
12.64%17.98T
Liabilities
Total deposits
26.25%23.77T
26.25%23.77T
29.95%21.71T
20.84%18.83T
--18.83T
18.88%16.71T
16.82%15.58T
14.43%14.05T
16.36%13.34T
16.36%13.34T
Federal funds purchased and securities sold under agreement to repurchase
-37.32%56.54B
-37.32%56.54B
66.58%675.16B
-40.60%90.2B
--90.2B
38.53%405.31B
-57.35%151.84B
-35.15%292.59B
-29.91%356.06B
-29.91%356.06B
Payables
53.43%670.94B
53.43%670.94B
206.48%273.93B
19.59%437.29B
--437.29B
16.12%89.38B
5.67%365.66B
-7.55%76.97B
33.45%346.04B
33.45%346.04B
-Accounts payable
66.41%531.48B
66.41%531.48B
206.48%273.93B
36.07%319.38B
--319.38B
16.12%89.38B
5.83%234.72B
-7.55%76.97B
20.89%221.8B
20.89%221.8B
-Other payable
18.27%139.45B
18.27%139.45B
----
-9.95%117.91B
--117.91B
----
5.39%130.94B
----
63.83%124.24B
63.83%124.24B
Current accrued expenses
81.14%82.75B
81.14%82.75B
----
-21.94%45.68B
--45.68B
----
-15.31%58.52B
----
25.87%69.1B
25.87%69.1B
Current debt and capital lease obligation
20.54%1.31T
20.54%1.31T
79.00%1.71T
96.67%1.09T
--1.09T
126.63%952.98B
131.61%554.17B
61.70%420.51B
-36.60%239.26B
-36.60%239.26B
-Current debt
20.54%1.31T
20.54%1.31T
79.00%1.71T
96.67%1.09T
--1.09T
126.63%952.98B
131.61%554.17B
61.70%420.51B
-36.60%239.26B
-36.60%239.26B
Long term debt and capital lease obligation
228.81%6.78T
228.81%6.78T
331.23%6.21T
26.31%2.06T
--2.06T
20.48%1.44T
31.10%1.63T
16.92%1.2T
14.01%1.25T
14.01%1.25T
-Long term debt
238.49%6.65T
238.49%6.65T
331.23%6.21T
26.37%1.96T
--1.96T
20.48%1.44T
32.31%1.55T
16.92%1.2T
14.44%1.17T
14.44%1.17T
-Long term capital lease obligation
34.18%131.04B
34.18%131.04B
----
24.98%97.66B
--97.66B
----
10.96%78.14B
----
7.33%70.42B
7.33%70.42B
Non current deferred liabilities
--288.15B
--288.15B
----
----
----
----
----
----
----
----
Derivative product liabilities
10.76%109.41B
10.76%109.41B
----
32.03%98.78B
--98.78B
----
-8.62%74.82B
----
-55.69%81.88B
-55.69%81.88B
Other liabilities
1,587.74%3.16T
1,587.74%3.16T
392.22%4.05T
0.36%187.4B
--187.4B
38.99%822.66B
31.85%186.74B
18.64%591.9B
11.68%141.62B
11.68%141.62B
Total liabilities
58.65%36.23T
58.65%36.23T
69.59%34.63T
22.76%22.84T
--22.84T
22.77%20.42T
17.63%18.6T
13.93%16.63T
12.45%15.82T
12.45%15.82T
Shareholders'equity
Share capital
36.15%7.6B
36.15%7.6B
36.12%7.58B
0.62%5.58B
--5.58B
0.59%5.57B
0.59%5.55B
0.61%5.54B
0.54%5.51B
0.54%5.51B
-common stock
36.15%7.6B
36.15%7.6B
36.12%7.58B
0.62%5.58B
--5.58B
0.59%5.57B
0.59%5.55B
0.61%5.54B
0.54%5.51B
0.54%5.51B
Paid-in capital
391.82%4.34T
391.82%4.34T
399.93%4.32T
5.84%883.37B
--883.37B
5.20%863.25B
5.09%834.62B
5.09%820.57B
3.70%794.22B
3.70%794.22B
Retained earnings
20.63%1.75T
20.63%1.75T
18.80%1.53T
25.55%1.45T
--1.45T
23.07%1.29T
28.44%1.15T
27.88%1.05T
25.87%897.87B
25.87%897.87B
Less: Treasury stock
--16.87B
--16.87B
--16.87B
----
----
----
----
----
----
----
Gains losses not affecting retained earnings
50.42%865.6B
50.42%865.6B
49.03%669.37B
12.51%575.47B
--575.47B
-4.02%449.14B
10.71%511.49B
13.43%467.93B
13.14%462.02B
13.14%462.02B
Total stockholders'equity
138.56%6.95T
138.56%6.95T
149.66%6.51T
16.26%2.91T
--2.91T
11.34%2.61T
15.98%2.5T
16.03%2.34T
14.08%2.16T
14.08%2.16T
Non controlling interests
16,554.64%938.86B
16,554.64%938.86B
18,307.94%932.34B
22.15%5.64B
--5.64B
26.24%5.06B
22.21%4.62B
13.33%4.01B
10.70%3.78B
10.70%3.78B
Total equity
170.27%7.89T
170.27%7.89T
184.89%7.44T
16.27%2.92T
--2.92T
11.36%2.61T
16.00%2.51T
16.02%2.34T
14.07%2.16T
14.07%2.16T
Currency Unit
INR
INR
INR
INR
INR
INR
INR
INR
INR
INR
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion with Explanatory Notes
--
Unqualified Opinion
--
(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q2)Sep 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q2)Sep 30, 2022(FY)Mar 31, 2022(Q2)Sep 30, 2021(FY)Mar 31, 2021(Q4)Mar 31, 2021
Assets
Cash cash equivalents and federal funds sold 8.06%5.3T8.06%5.3T80.64%1.84T147.41%4.91T--4.91T-39.07%1.02T49.79%1.98T54.40%1.67T33.43%1.32T33.43%1.32T
-Cash and cash equivalents 44.93%3.43T44.93%3.43T78.27%1.81T47.82%2.36T--2.36T33.69%1.01T53.57%1.6T35.81%757.91B43.29%1.04T43.29%1.04T
-Money market investments -92.49%34.18B-92.49%34.18B501.22%34.39B22.04%455.28B--455.28B-99.37%5.72B38.14%373.05B74.17%914.52B8.02%270.06B8.02%270.06B
-Restricted cash and investments -11.78%1.84T-11.78%1.84T----20,091.40%2.09T--2.09T-----14.80%10.33B-----20.37%12.13B-20.37%12.13B
Receivables 36.01%379.13B36.01%379.13B50.86%240.82B47.86%278.75B--278.75B28.26%159.62B10.61%188.53B3.47%124.46B-55.19%170.45B-55.19%170.45B
-Accounts receivable 28.48%249.94B28.48%249.94B50.86%240.82B42.52%194.53B--194.53B28.26%159.62B10.35%136.49B3.47%124.46B-61.94%123.69B-61.94%123.69B
-Other receivables 53.40%129.19B53.40%129.19B----61.85%84.22B--84.22B----11.29%52.03B-----15.57%46.76B-15.57%46.76B
Prepaid assets 227.05%233.8B227.05%233.8B----25.46%71.49B--71.49B----30.48%56.98B----27.86%43.67B27.86%43.67B
Net loan 54.44%26.34T54.44%26.34T60.62%24.84T21.49%17.05T--17.05T25.11%15.47T19.97%14.04T15.11%12.36T12.23%11.7T12.23%11.7T
-Gross loan 53.82%26.79T53.82%26.79T59.57%25.29T20.88%17.42T--17.42T24.77%15.85T19.64%14.41T14.95%12.7T13.36%12.04T13.36%12.04T
-Allowance for loans and lease losses 25.24%457.35B25.24%457.35B16.67%443.83B-2.01%365.16B--365.16B12.31%380.43B8.48%372.67B9.54%338.73B72.77%343.53B72.77%343.53B
Securities and investments 145.54%7.28T145.54%7.28T72.22%8.61T-33.23%2.97T--2.97T21.65%5T1.52%4.44T-0.36%4.11T17.89%4.38T17.89%4.38T
-Trading securities 239.57%461.25B239.57%461.25B447.52%278B155.32%135.83B--135.83B0.15%50.77B-46.60%53.2B-56.39%50.7B-67.33%99.62B-67.33%99.62B
-Available for sale securities 1,336.85%317.59B1,336.85%317.59B------22.1B--22.1B--------------------
-Short term investments 131.61%6.5T131.61%6.5T68.36%8.33T-36.02%2.81T--2.81T21.92%4.95T2.65%4.39T1.27%4.06T25.52%4.28T25.52%4.28T
Derivative assets -10.44%109.04B-10.44%109.04B----51.80%121.75B--121.75B-----4.98%80.2B-----55.70%84.41B-55.70%84.41B
Net PPE 51.12%268.33B51.12%268.33B87.91%132.99B29.23%177.56B--177.56B26.08%70.77B16.79%137.4B11.48%56.13B7.85%117.64B7.85%117.64B
-Gross PPE 41.80%431.25B41.80%431.25B----23.11%304.14B--304.14B----14.64%247.04B----9.98%215.5B9.98%215.5B
-Accumulated depreciation -28.71%-162.92B-28.71%-162.92B-----15.45%-126.58B---126.58B-----12.04%-109.64B-----12.67%-97.86B-12.67%-97.86B
Goodwill and other intangible assets 3,937.51%3.03T3,937.51%3.03T3,979.31%3.06T0.00%74.94B--74.94B0.00%74.94B0.00%74.94B0.00%74.94B0.00%74.94B0.00%74.94B
-Goodwill 2,074.48%1.63T2,074.48%1.63T2,098.70%1.65T0.00%74.94B--74.94B0.00%74.94B0.00%74.94B0.00%74.94B0.00%74.94B0.00%74.94B
-Other intangible assets --1.4T--1.4T--1.41T----------------------------
Other assets 947.60%1.12T947.60%1.12T169.38%3.35T-6.24%107.28B--107.28B114.70%1.24T27.35%114.42B35.19%578.52B101.67%89.85B101.67%89.85B
Total assets 71.30%44.12T71.30%44.12T82.66%42.07T21.99%25.76T--25.76T21.36%23.03T17.43%21.11T14.19%18.98T12.64%17.98T12.64%17.98T
Liabilities
Total deposits 26.25%23.77T26.25%23.77T29.95%21.71T20.84%18.83T--18.83T18.88%16.71T16.82%15.58T14.43%14.05T16.36%13.34T16.36%13.34T
Federal funds purchased and securities sold under agreement to repurchase -37.32%56.54B-37.32%56.54B66.58%675.16B-40.60%90.2B--90.2B38.53%405.31B-57.35%151.84B-35.15%292.59B-29.91%356.06B-29.91%356.06B
Payables 53.43%670.94B53.43%670.94B206.48%273.93B19.59%437.29B--437.29B16.12%89.38B5.67%365.66B-7.55%76.97B33.45%346.04B33.45%346.04B
-Accounts payable 66.41%531.48B66.41%531.48B206.48%273.93B36.07%319.38B--319.38B16.12%89.38B5.83%234.72B-7.55%76.97B20.89%221.8B20.89%221.8B
-Other payable 18.27%139.45B18.27%139.45B-----9.95%117.91B--117.91B----5.39%130.94B----63.83%124.24B63.83%124.24B
Current accrued expenses 81.14%82.75B81.14%82.75B-----21.94%45.68B--45.68B-----15.31%58.52B----25.87%69.1B25.87%69.1B
Current debt and capital lease obligation 20.54%1.31T20.54%1.31T79.00%1.71T96.67%1.09T--1.09T126.63%952.98B131.61%554.17B61.70%420.51B-36.60%239.26B-36.60%239.26B
-Current debt 20.54%1.31T20.54%1.31T79.00%1.71T96.67%1.09T--1.09T126.63%952.98B131.61%554.17B61.70%420.51B-36.60%239.26B-36.60%239.26B
Long term debt and capital lease obligation 228.81%6.78T228.81%6.78T331.23%6.21T26.31%2.06T--2.06T20.48%1.44T31.10%1.63T16.92%1.2T14.01%1.25T14.01%1.25T
-Long term debt 238.49%6.65T238.49%6.65T331.23%6.21T26.37%1.96T--1.96T20.48%1.44T32.31%1.55T16.92%1.2T14.44%1.17T14.44%1.17T
-Long term capital lease obligation 34.18%131.04B34.18%131.04B----24.98%97.66B--97.66B----10.96%78.14B----7.33%70.42B7.33%70.42B
Non current deferred liabilities --288.15B--288.15B--------------------------------
Derivative product liabilities 10.76%109.41B10.76%109.41B----32.03%98.78B--98.78B-----8.62%74.82B-----55.69%81.88B-55.69%81.88B
Other liabilities 1,587.74%3.16T1,587.74%3.16T392.22%4.05T0.36%187.4B--187.4B38.99%822.66B31.85%186.74B18.64%591.9B11.68%141.62B11.68%141.62B
Total liabilities 58.65%36.23T58.65%36.23T69.59%34.63T22.76%22.84T--22.84T22.77%20.42T17.63%18.6T13.93%16.63T12.45%15.82T12.45%15.82T
Shareholders'equity
Share capital 36.15%7.6B36.15%7.6B36.12%7.58B0.62%5.58B--5.58B0.59%5.57B0.59%5.55B0.61%5.54B0.54%5.51B0.54%5.51B
-common stock 36.15%7.6B36.15%7.6B36.12%7.58B0.62%5.58B--5.58B0.59%5.57B0.59%5.55B0.61%5.54B0.54%5.51B0.54%5.51B
Paid-in capital 391.82%4.34T391.82%4.34T399.93%4.32T5.84%883.37B--883.37B5.20%863.25B5.09%834.62B5.09%820.57B3.70%794.22B3.70%794.22B
Retained earnings 20.63%1.75T20.63%1.75T18.80%1.53T25.55%1.45T--1.45T23.07%1.29T28.44%1.15T27.88%1.05T25.87%897.87B25.87%897.87B
Less: Treasury stock --16.87B--16.87B--16.87B----------------------------
Gains losses not affecting retained earnings 50.42%865.6B50.42%865.6B49.03%669.37B12.51%575.47B--575.47B-4.02%449.14B10.71%511.49B13.43%467.93B13.14%462.02B13.14%462.02B
Total stockholders'equity 138.56%6.95T138.56%6.95T149.66%6.51T16.26%2.91T--2.91T11.34%2.61T15.98%2.5T16.03%2.34T14.08%2.16T14.08%2.16T
Non controlling interests 16,554.64%938.86B16,554.64%938.86B18,307.94%932.34B22.15%5.64B--5.64B26.24%5.06B22.21%4.62B13.33%4.01B10.70%3.78B10.70%3.78B
Total equity 170.27%7.89T170.27%7.89T184.89%7.44T16.27%2.92T--2.92T11.36%2.61T16.00%2.51T16.02%2.34T14.07%2.16T14.07%2.16T
Currency Unit INRINRINRINRINRINRINRINRINRINR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion----Unqualified Opinion----Unqualified Opinion with Explanatory Notes--Unqualified Opinion--

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
% Chg

No Data