v3.25.2
CONSOLIDATED BALANCE SHEETS
₨ in Millions, $ in Millions
Mar. 31, 2025
INR (₨)
Mar. 31, 2025
USD ($)
Mar. 31, 2024
INR (₨)
ASSETS:      
Cash and due from banks, and restricted cash ₨ 1,982,929.8 $ 23,211.2 ₨ 2,086,031.4
Investments held for trading, at fair value 625,388.5 7,320.5 461,245.3
Investments available for sale debt securities, at fair value [includes restricted investments of Rs. 1,792,147.6 and Rs. 3,936,248.0 (US$ 46,075.7), as of March 31, 2024 and March 31, 2025, respectively] 9,910,174.3 116,003.4 8,295,487.1
Securities purchased under agreements to resell 349,210.7 4,087.7 34,178.3
Loans [net of allowance of Rs. 457,346.5 and Rs. 535,829.3 (US$ 6,272.1), as of March 31, 2024 and March 31, 2025, respectively] 28,102,981.8 328,959.2 26,335,700.9
Accrued interest receivable 322,788.9 3,778.4 249,644.5
Property and equipment, net 172,437.9 2,018.5 147,030.4
Intangible assets, net 1,370,880.0 16,046.8 1,396,117.2
Goodwill 1,629,510.3 19,074.2 1,629,510.3
Other assets 2,705,087.5 31,664.3 2,528,211.3
Separate account assets 1,016,281.4 11,896.1 955,416.3
Total assets 48,187,671.1 564,060.3 44,118,573.0
Liabilities:      
Interest-bearing deposits 23,994,357.2 280,865.7 20,688,406.2
Non-interest-bearing deposits 3,116,596.7 36,481.3 3,079,829.4
Total deposits 27,110,953.9 317,347.0 23,768,235.6
Securities sold under repurchase agreements 129,190.0 1,512.2 56,541.0
Short-term borrowings 1,306,013.1 15,287.5 1,313,737.1
Accrued interest payable 258,311.8 3,023.7 238,638.8
Long-term debt 5,866,163.2 68,666.3 6,648,772.0
Accrued expenses and other liabilities 1,457,948.6 17,066.0 1,295,002.8
Separate account liabilities 1,016,281.4 11,896.1 955,416.3
Liabilities on policies in force 2,180,964.3 25,529.2 1,763,979.1
Undistributed policy holders earnings account 238,953.8 2,797.1 192,067.5
Total liabilities 39,564,780.1 463,125.1 36,232,390.2
Commitments and contingencies (see note: 29)
Shareholders' equity:      
Equity shares: par value Rs. 1.0 each; authorized 11,906,100,000 shares and 11,906,100,000 shares; issued and outstanding 7,596,910,662 shares and 7,652,221,674 shares, as of March 31, 2024 and March 31, 2025, respectively 7,652.2 89.6 7,596.9
Additional paid-in capital 4,436,065.7 51,926.3 4,344,576.8
Retained earnings 2,099,097.2 24,571.0 1,746,416.9
Statutory reserve 1,053,746.2 12,334.6 881,143.2
Accumulated other comprehensive income/ (loss) 97,194.1 1,137.7 (15,540.4)
Treasury stock, at cost (16,864.0) (197.4) (16,866.0)
Total HDFC Bank Limited shareholders' equity 7,676,891.4 89,861.8 6,947,327.4
Noncontrolling interest in subsidiaries 945,999.6 11,073.4 938,855.4
Total shareholders' equity 8,622,891.0 100,935.2 7,886,182.8
Total liabilities and shareholders' equity ₨ 48,187,671.1 $ 564,060.3 ₨ 44,118,573.0