v3.25.2
CONSOLIDATED STATEMENTS OF CASH FLOWS
₨ in Millions, $ in Millions
12 Months Ended
Mar. 31, 2025
INR (₨)
Mar. 31, 2025
USD ($)
Mar. 31, 2024
INR (₨)
Mar. 31, 2023
INR (₨)
Cash flows from operating activities:        
Net income before noncontrolling interest ₨ 686,531.3 $ 8,035.9 ₨ 627,631.9 ₨ 496,264.4
Adjustment to reconcile net income to net cash provided by operating activities        
Provision for credit losses 181,380.1 2,123.1 133,063.1 74,213.8
Depreciation and amortization 37,784.1 442.3 31,147.3 23,489.7
Amortization of deferred customer acquisition costs and fees 37,093.8 434.2 20,848.1 13,284.8
Amortization of premium/(discount) on investments 39,220.6 459.1 22,386.1 7,845.9
Amortization of intangible assets 25,237.2 295.4 21,201.0 0.0
Allowance on available for sale debt securities (70.9) 70.9
Deferred tax expense/ (benefit) (15,613.6) (182.8) (57,133.2) 12,280.9
Other gains, net (2,368.1) (27.7) (2,165.8) (8,714.9)
Share-based compensation expense 24,633.9 288.4 20,115.8 14,014.6
Net realized (gain)/ loss on sale of available for sale debt securities (6,825.0) (79.9) (826.7) 720.3
(Gain)/ loss on disposal of property and equipment, net (224.9) (2.6) (748.0) (80.6)
Unrealized exchange (gain)/ loss 20,184.6 236.3 5,554.3 276.7
Net change in:        
Investments held for trading (163,568.7) (1,914.7) (46,372.8) (87,892.0)
Accrued interest receivable (72,883.7) (853.1) (24,104.9) (51,395.9)
Other assets (244,897.0) (2,866.6) 77,812.0 (113,657.6)
Accrued interest payable 19,359.0 226.6 12,951.8 29,891.6
Accrued expense and other liabilities 166,702.3 1,951.5 (171,089.9) 66,588.0
Policyholder's Fund 463,871.5 5,429.8 352,123.2  
Net cash provided by operating activities 1,195,617.4 13,995.2 1,022,322.4 477,200.6
Cash flows from investing activities:        
Term placements, net 102,999.7 1,205.7 (353,054.8) (498,561.2)
Activity in available for sale debt securities:        
Purchases (4,648,957.4) (54,418.3) (4,308,274.6) (1,595,296.1)
Proceeds from sales 1,886,002.6 22,076.6 2,296,504.0 36,463.8
Maturities, prepayments and calls 1,272,042.3 14,889.9 1,163,732.2 994,010.6
Net change in repurchase agreements and reverse repurchase agreements (242,383.4) (2,837.2) 519,749.7 (234,067.0)
Proceeds from loans securitised 346,696.1 4,058.2    
Loans purchased (116,976.0) (526,272.5)
Repayments on loans purchased 908.9 10.6 52,799.6 337,760.9
Increase in loans originated, net of principal collections (2,306,431.8) (26,997.9) (3,104,884.4) (2,864,884.7)
Additions to property and equipment (66,397.3) (777.2) (53,838.0) (43,620.3)
Proceeds from sale or disposal of property and equipment 979.1 11.5 1,533.9 426.8
Proceeds from disposals of business 95,006.7  
Net cash received on acquisition of HDFC Limited     54,793.7  
Activity in equity securities, net (61,515.4) (720.1) 80,343.8 1,256.7
Net cash used in investing activities (3,716,056.6) (43,498.2) (3,672,564.2) (4,392,783.0)
Cash flows from financing activities:        
Net increase in deposits 3,323,247.6 38,900.2 3,368,161.6 3,224,774.3
Net increase/(decrease) in short-term borrowings (13,437.3) (157.3) 222,250.1 535,729.9
Proceeds from issue of shares by a subsidiary to noncontrolling interests 6,006.3 70.3 3,641.4 822.7
Proceeds from issuance of long-term debt 661,226.3 7,740.0 1,155,775.2 1,022,933.1
Repayment of long-term debt (1,463,100.8) (17,126.3) (1,400,297.9) (558,113.6)
Proceeds from issuance of equity shares for options and warrants exercised 63,465.0 742.9 84,425.4 34,158.3
Payment of dividends (158,058.1) (1,850.1) (86,617.1) (86,394.3)
Net cash provided by financing activities 2,419,349.0 28,319.7 3,347,338.7 4,173,910.4
Effect of exchange rate changes on cash and due from banks, and restricted cash (2,011.4) (23.5) 1,539.3 7,036.1
Net change in cash and due from banks, and restricted cash (103,101.6) (1,206.8) 698,636.2 265,364.1
Cash and due from banks, and restricted cash, beginning of year 2,086,031.4 24,418.0 1,387,395.2 1,122,031.1
Cash and due from banks, and restricted cash, end of year 1,982,929.8 23,211.2 2,086,031.4 1,387,395.2
Supplementary cash flow information:        
Interest paid 1,803,804.0 21,114.4 1,407,747.2 745,487.8
Income taxes paid, net of refunds 195,409.7 2,287.4 199,753.4 163,674.9
Non-cash investment activities        
Payable for purchase of property and equipment 8,149.7 95.4 8,613.4 ₨ 7,440.6
Trade date sale receivable of available for sale debt securities ₨ 1,487.0 $ 17.4 ₨ 3,607.4  
Operating lease right-of-use assets Refer to note 29— “Commitments and contingencies—Leasecommitments” for more information and balances as at March 31, 2025. Refer to note 29— “Commitments and contingencies—Leasecommitments” for more information and balances as at March 31, 2025.