Bank of Baroda Ltd
NSE:BANKBARODA

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Bank of Baroda Ltd Logo
Bank of Baroda Ltd
NSE:BANKBARODA
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Price: 292.6 INR 1.53% Market Closed
Market Cap: 1.5T INR

Balance Sheet

Balance Sheet Decomposition
Bank of Baroda Ltd

Net Loans 12.9T
Investments 4.7T
PP&E 123.2B
Intangibles 9.1B
Other Assets 1.4T
Total Deposits 15.3T
Long Term Debt 1.5T
Other Liabilities 812.1B

Balance Sheet
Bank of Baroda Ltd

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Balance Sheet
Currency: INR
Mar-2002 Mar-2003 Mar-2004 Mar-2005 Mar-2006 Mar-2007 Mar-2008 Mar-2009 Mar-2010 Mar-2011 Mar-2012 Mar-2013 Mar-2014 Mar-2015 Mar-2016 Mar-2017 Mar-2018 Mar-2019 Mar-2020 Mar-2021 Mar-2022 Mar-2023 Mar-2024 Mar-2025
Assets
Net Loans
336 630
353 481
356 009
444 772
614 831
855 580
1 085 790
1 455 595
1 777 119
2 320 851
2 920 771
3 336 252
3 463 351
3 608 021
3 224 001
3 363 377
3 880 337
4 527 599
6 666 875
6 938 551
7 600 626
9 093 743
10 090 294
11 493 325
Investments
265 173
322 245
401 988
409 084
396 035
411 076
513 217
607 801
738 514
892 642
1 060 698
1 514 329
2 443 039
2 631 641
2 588 077
2 815 132
2 556 096
2 634 200
3 872 414
3 650 666
4 251 753
4 501 685
4 686 392
5 055 397
PP&E Net
6 924
6 973
8 153
9 054
9 748
11 595
24 905
23 755
23 694
23 832
24 282
25 504
28 493
29 784
63 592
59 297
55 323
71 437
90 438
82 169
101 881
89 568
81 483
126 337
PP&E Gross
0
0
0
9 054
9 748
11 595
24 905
23 755
23 694
23 832
24 282
25 504
28 493
29 784
63 592
59 297
55 323
71 437
90 438
82 169
101 881
89 568
81 483
126 337
Accumulated Depreciation
0
0
0
8 629
9 740
11 825
14 039
17 093
20 429
23 334
26 686
30 398
34 605
38 179
44 089
53 887
62 554
70 798
112 676
123 309
137 555
155 764
170 318
188 788
Goodwill
0
0
0
0
2 417
1 841
1 841
1 841
0
0
0
0
0
0
0
0
0
2 239
2 239
2 239
9 108
9 108
9 108
9 108
Long-Term Investments
0
0
0
0
2 244
2 621
2 870
4 073
2 827
3 173
3 703
4 948
6 298
7 955
8 147
8 924
9 685
10 180
11 143
13 265
15 729
18 829
22 894
28 706
Customer Acceptances Liabilities
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Long-Term Assets
0
0
0
463
495
492
534
446
42
62
119
980
103
118
32 630
43 357
63 523
74 466
145 746
102 549
94 083
66 728
48 147
31 853
Other Assets
37 742
33 827
34 069
43 315
45 850
54 523
45 282
47 679
44 585
61 611
103 874
97 956
130 706
136 940
241 778
218 614
254 191
272 658
490 522
504 415
454 441
467 370
502 215
520 425
Total Assets
709 101
N/A
764 246
+8%
851 087
+11%
974 006
+14%
1 166 800
+20%
1 468 716
+26%
1 834 790
+25%
2 315 767
+26%
2 842 768
+23%
3 662 138
+29%
4 574 120
+25%
5 593 883
+22%
6 761 141
+21%
7 339 774
+9%
6 911 791
-6%
7 192 205
+4%
7 478 049
+4%
8 196 719
+10%
11 999 421
+46%
12 026 758
+0%
13 401 371
+11%
15 258 790
+14%
16 547 794
+8%
18 617 741
+13%
Liabilities
Accounts Payable
0
0
0
0
0
9 816
12 149
14 699
17 538
21 449
28 373
33 305
38 087
47 811
39 927
34 365
34 473
38 481
51 371
44 750
44 659
56 718
70 203
88 062
Short-Term Debt
0
0
0
0
0
17 154
17 596
12 543
14 940
16 841
13 907
14 675
17 494
21 909
17 419
22 005
20 428
19 267
21 533
27 018
40 410
41 091
38 641
37 065
Total Deposits
618 045
664 414
729 673
834 051
960 510
1 281 074
1 552 951
1 966 084
2 459 511
3 116 032
3 926 159
4 826 389
5 799 971
6 299 813
5 866 905
6 172 569
6 074 514
6 655 887
9 732 281
9 959 098
10 758 044
12 346 820
13 518 018
14 966 880
Other Interest Bearing Liabilities
6 927
6 253
8 751
19 245
50 489
11 712
39 622
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Total Current Liabilities
0
0
0
0
0
26 970
29 745
27 242
32 478
38 290
42 280
47 980
55 581
69 720
57 346
56 370
54 901
57 748
72 904
71 768
85 069
97 809
108 844
125 128
Long-Term Debt
0
0
0
0
0
0
0
127 767
134 043
223 783
235 981
265 529
369 763
355 015
338 452
312 420
648 598
688 675
957 527
712 633
1 095 261
1 079 102
1 019 591
1 358 128
Deferred Income Tax
0
0
0
0
0
0
0
0
976
1 022
2 567
11
7 945
6 759
61
47
90
24
68
86
161
81
44
82
Minority Interest
0
0
0
418
246
318
363
464
594
729
912
1 101
1 584
1 867
1 937
2 325
2 725
3 414
3 862
4 362
7 578
9 946
10 179
12 476
Other Liabilities
45 852
49 709
61 353
61 782
74 466
59 867
98 524
60 963
58 019
64 016
81 058
120 055
147 830
186 424
222 058
217 799
231 558
241 010
471 736
454 915
536 577
674 485
693 994
690 021
Total Liabilities
670 823
N/A
720 376
+7%
799 777
+11%
915 496
+14%
1 085 711
+19%
1 379 941
+27%
1 721 204
+25%
2 182 520
+27%
2 685 622
+23%
3 443 872
+28%
4 288 957
+25%
5 261 066
+23%
6 382 673
+21%
6 919 597
+8%
6 486 759
-6%
6 761 529
+4%
7 012 387
+4%
7 646 758
+9%
11 238 378
+47%
11 202 862
0%
12 482 690
+11%
14 208 243
+14%
15 350 671
+8%
17 152 714
+12%
Equity
Common Stock
2 943
2 943
2 945
2 945
3 655
3 655
3 655
3 655
3 655
3 928
4 124
4 225
4 307
4 423
4 608
4 608
5 291
5 291
9 241
10 343
10 343
10 343
10 343
10 343
Retained Earnings
35 334
40 926
48 364
48 178
54 694
62 381
87 191
106 411
130 348
166 568
209 550
246 019
276 313
304 547
289 880
299 545
279 037
309 296
335 672
353 191
532 685
652 704
794 866
1 040 368
Additional Paid In Capital
0
0
0
7 388
22 739
22 739
22 739
22 739
23 311
47 648
63 899
72 298
77 716
90 200
107 875
107 875
160 942
211 758
382 224
426 102
314 322
314 322
314 322
314 330
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
0
0
0
0
0
1 305
1 305
1 305
1 305
632
216
216
23 900
24 453
30 234
42 837
Other Equity
0
0
0
0
0
0
0
442
168
122
7 590
10 275
20 132
19 701
21 364
17 343
19 088
22 984
33 689
34 045
37 431
48 725
47 358
57 149
Total Equity
38 278
N/A
43 870
+15%
51 309
+17%
58 511
+14%
81 088
+39%
88 776
+9%
113 585
+28%
133 247
+17%
157 146
+18%
218 266
+39%
285 163
+31%
332 818
+17%
378 468
+14%
420 177
+11%
425 032
+1%
430 676
+1%
465 662
+8%
549 961
+18%
761 043
+38%
823 896
+8%
918 681
+12%
1 050 547
+14%
1 197 122
+14%
1 465 027
+22%
Total Liabilities & Equity
709 101
N/A
764 246
+8%
851 087
+11%
974 006
+14%
1 166 800
+20%
1 468 716
+26%
1 834 790
+25%
2 315 767
+26%
2 842 768
+23%
3 662 138
+29%
4 574 120
+25%
5 593 883
+22%
6 761 141
+21%
7 339 774
+9%
6 911 791
-6%
7 192 205
+4%
7 478 049
+4%
8 196 719
+10%
11 999 421
+46%
12 026 758
+0%
13 401 371
+11%
15 258 790
+14%
16 547 794
+8%
18 617 741
+13%
Shares Outstanding
Common Shares Outstanding
1 480
1 480
1 466
1 466
1 821
1 821
1 821
1 821
1 821
1 958
2 056
2 106
2 147
2 211
2 304
2 304
2 646
2 646
4 621
5 171
5 171
5 171
5 171
5 171