SBI Balance Sheet

Mar 19 Mar 18 Mar 17 Mar 16 Mar 15 Mar 14
SOURCES OF FUNDS:
Share Capital 892.46 892.46 797.35 776.28 746.57 746.57
Total Reserves 220,021.36 218,236.10 187,488.71 143,498.16 127,691.65 117,535.68
    Securities Premium 79,115.47 79,124.22 55,423.23 49,769.48 41,444.69 41,444.69
    Capital Reserves 9,770.87 9,391.66 3,688.18 2,194.79 1,849.51 1,744.01
    Profit & Loss Account Balances -15,226.06 -15,078.57 0.32 0.32 0.32 0.32
    Other Reserves 146,361.08 144,798.80 128,376.99 91,533.57 84,397.13 74,346.66
Revaluation Reserves 24,653.94 24,847.99 31,585.65 0.00 0.00 0.00
Deposits 2,911,386.01 2,706,343.29 2,044,751.39 1,730,722.44 1,576,793.25 1,394,408.50
    Demand Deposits 205,875.25 190,173.89 152,421.11 139,807.03 124,572.30 113,232.47
    Savings Deposit 1,091,751.97 1,013,774.47 758,961.39 597,746.06 527,332.82 485,167.93
    Term Deposits / Fixed Deposits 1,613,758.79 1,502,394.93 1,133,368.90 993,169.34 924,888.12 796,008.10
Borrowings 403,017.12 362,142.07 317,693.66 323,344.59 205,150.29 183,130.88
    Borrowings From Reserve Bank of India 94,319.00 94,252.00 5,000.00 99,154.00 2,595.00 12,200.00
    Borrowings From Other Banks 260.00 1,603.85 1,475.00 0.00 674.52 1,121.44
    Borrowings From Other Financial Institutions 27,853.89 2,411.83 69,489.27 1,902.52 3,490.56 8,280.19
    Borrowings in the form of Bonds / Debentures 47,409.04 44,375.84 41,671.34 44,539.24 38,636.40 38,836.40
    Borrowings From Out of India 233,175.19 219,498.55 200,058.05 177,748.82 159,753.82 122,692.85
Other Liabilities & Provisions 145,597.30 167,138.08 155,235.19 159,276.08 137,698.04 96,926.65
    Bills Payable 23,875.66 26,617.75 26,666.84 18,438.46 20,184.70 19,165.70
    Inter-office adjustment Liabilities 21,735.75 40,734.58 35,645.54 36,843.47 39,061.19 1,502.58
    Interest Accrued 14,479.87 16,279.63 13,080.92 24,934.79 20,560.46 15,772.87
    Proposed Dividend 0.00 0.00 2,108.56 2,018.32 2,648.17 1,119.86
    Corporate dividend tax payable 0.00 0.00 306.38 334.51 429.76 298.45
    Other Liabilities & Provisions 85,506.01 83,506.12 77,426.95 76,706.53 54,813.76 59,067.20
Total Liabilities 3,680,914.25 3,454,752.00 2,705,966.30 2,357,617.54 2,048,079.80 1,792,748.29
APPLICATION OF FUNDS :
Cash and balance with Reserve Bank of India 176,932.42 150,397.18 127,997.62 129,629.33 115,883.84 84,955.66
    Cash with RBI 158,154.47 134,924.76 115,967.31 114,548.41 100,940.62 72,499.10
    Cash in hand & others 18,777.94 15,472.42 12,030.31 15,080.92 14,943.22 12,456.56
Balances with banks and money at call 45,557.69 41,501.46 43,974.03 37,838.33 38,871.94 47,593.97
Investments 967,021.95 1,060,986.72 765,989.63 575,651.78 481,758.75 398,799.57
Investments in India 915,706.77 1,014,836.01 724,258.90 536,215.07 451,401.73 374,539.94
    GOI/State Govt. Securities 761,883.12 848,395.84 575,238.71 459,552.88 377,654.15 308,394.62
    Equity Shares - Corporate 9,878.74 10,516.69 5,445.70 3,743.81 4,336.49 3,009.16
    Debentures & Bonds 84,948.37 77,962.93 59,847.40 41,111.36 30,527.77 26,424.81
    Subsidiaries and/or joint ventures/Associates 5,608.00 5,077.97 11,363.45 8,784.23 7,596.50 6,153.70
    Units - MF/ Insurance/CP/PTC 53,388.54 72,882.57 72,363.64 23,022.79 31,286.82 30,557.64
Investments outside India 51,315.18 46,150.71 41,730.73 39,436.71 30,357.02 24,259.64
    Government securities 11,644.85 10,520.46 8,821.02 9,969.94 5,758.33 3,465.14
    Subsidiaries and/or joint ventures abroad 4,298.49 2,712.22 2,643.75 2,591.73 2,185.69 2,183.71
    Other investments outside India 35,371.83 32,918.02 30,265.96 26,875.04 22,413.00 18,610.78
Advances 2,185,876.92 1,934,880.19 1,571,078.38 1,463,700.42 1,300,026.39 1,209,828.72
    Bills Purchased & Discounted 80,278.87 67,613.56 73,997.86 94,360.70 95,605.94 77,755.09
    Cash Credit, Over Draft & Loans repayable 776,633.46 746,252.38 605,016.34 589,442.33 538,576.40 522,860.87
    Term Loans 1,328,964.59 1,121,014.25 892,064.18 779,897.38 665,844.05 609,212.76
Gross block 61,906.55 60,316.45 57,817.65 23,185.78 21,170.45 18,919.38
    Premises 30,831.77 30,201.54 35,961.30 3,634.58 3,419.39 3,112.46
    Assets Given on Lease 0.00 0.00 0.00 0.00 208.70 233.62
    Other Fixed Assets 31,074.77 30,114.91 21,856.35 19,551.20 17,542.35 15,573.29
Less: Accumulated Depreciation 23,397.60 21,115.74 15,472.66 13,366.62 12,128.65 11,202.92
Net Block 38,508.94 39,200.71 42,344.99 9,819.16 9,041.80 7,716.46
Capital Work in Progress 688.63 791.54 573.93 570.12 287.37 285.70
Other Assets 266,327.70 226,994.20 154,007.72 140,408.41 102,209.71 43,568.21
    Interest Accrued Assets 26,141.97 25,714.47 18,658.88 16,227.96 15,020.62 13,416.74
    Tax paid in advance/TDS 24,376.29 17,546.11 8,814.18 12,698.29 9,257.46 11,880.51
    Stationery and stamps 102.14 107.06 90.81 102.67 104.48 116.22
    Non-banking assets acquired 0.74 4.65 3.91 3.91 4.26 4.26
    Deferred tax asset 10,422.49 11,368.79 427.90 472.52 365.99 513.69
    Assets Others 205,284.07 172,253.12 126,012.04 110,903.06 77,456.90 17,636.80
Total Assets 3,680,914.25 3,454,752.00 2,705,966.30 2,357,617.54 2,048,079.80 1,792,748.29
Contingent Liabilities 1,116,081.46 1,162,020.69 1,046,440.93 971,956.01 1,000,627.26 1,017,329.95
    Claims not acknowledged as debts 43,357.93 35,153.03 28,971.02 12,347.03 14,132.88 13,578.52
    Outstanding forward exchange contracts 596,621.67 644,102.45 572,601.54 506,354.88 568,894.47 573,861.68
    Guarantees given in India 157,186.66 148,866.54 131,207.73 135,811.52 123,711.15 103,663.00
    Guarantees given Outside India 72,425.95 67,469.27 71,152.11 82,799.98 63,673.92 71,539.24
    Acceptances, endorsements & other obligations 124,194.94 121,238.95 100,059.57 106,928.52 97,765.10 125,106.50
    Other Contingent liabilities 122,294.31 145,190.45 142,448.96 127,714.07 132,449.75 129,581.02
Bills for collection 70,022.54 74,027.90 65,640.42 92,211.65 92,795.25 74,028.42

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