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Axis Bank Limited logo
AXISBANK.NS
Axis Bank Limited
09:59:59
1357.9
0.0000 (%0.00)
Previous Close: 1360.1
Day Low1350.5
Day High1363
Bid
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AXISBANK.NS: Axis Bank Limited Financials

Axis Bank Limited Income Statement

Total revenue
Net income
Gross margin TTM
54.33%
Operating margin TTM
19.91%
Net profit margin TTM
16.27%
Return on investment TTM
12.27%
Period end31/03/202631/03/202531/03/202431/03/2023
Total revenue1,622,119,500,0001,559,271,500,0001,379,937,800,0001,058,049,900,000
Operating income322,934,700,000367,221,600,000351,780,000,000186,211,800,000
Net income263,848,500,000280,551,100,000263,862,000,000108,184,500,000

All line items

Line item31/03/202631/03/202531/03/202431/03/2023
Total revenue1,622,119,500,0001,559,271,500,0001,379,937,800,0001,058,049,900,000
Cost of revenue740,749,900,000710,363,100,000613,907,400,000433,891,500,000
Gross profit881,369,600,000848,908,400,000766,030,400,000624,158,400,000
Research and development expenses0000
General and administrative expenses140,060,500,000000
Selling and marketing expenses0000
Selling, general and administrative expenses140,060,500,000228,919,600,000201,511,500,000284,387,900,000
Other expenses418,374,400,000252,767,200,000212,738,900,000153,558,700,000
Operating expenses558,434,900,000481,686,800,000414,250,400,000437,946,600,000
Cost and expenses1,299,184,800,0001,192,049,900,0001,028,157,800,000871,838,100,000
Net interest income584,632,500,000563,377,800,000513,683,100,000440,592,200,000
Interest income1,325,382,400,0001,273,740,900,0001,127,590,500,000874,483,700,000
Interest expense740,749,900,000710,363,100,000613,907,400,000433,891,500,000
Depreciation and amortization18,929,300,00017,669,700,00013,884,600,000131,456,500,000
EBITDA341,864,000,000384,891,300,000365,664,600,000317,668,300,000
EBIT322,934,700,000367,221,600,000351,780,000,000186,211,800,000
Non-operating income (excl. interest)0000
Operating income322,934,700,000367,221,600,000351,780,000,000186,211,800,000
Total other income/expenses (net)0000
Income before tax322,934,700,000367,221,600,000351,780,000,000186,211,800,000
Income tax expense57,996,500,00086,104,200,00087,544,600,00077,685,200,000
Net income from continuing operations265,479,100,000281,908,000,000264,922,500,000109,185,100,000
Net income from discontinued operations0000
Other adjustments to net income0000
Net income263,848,500,000280,551,100,000263,862,000,000108,184,500,000
Net income deductions0000
Bottom line net income263,848,500,000280,551,100,000263,862,000,000108,184,500,000
EPS85918635
Diluted EPS84908535
Weighted average shares outstanding3,102,640,0003,092,494,0003,081,780,0003,073,000,000
Weighted average diluted shares outstanding3,123,207,0003,111,012,0003,104,000,0003,087,800,000

Axis Bank Limited Balance Sheet

Total assets
Total liabilities & equity
Liquidity ratio MRQ
Current ratio MRQ
Long-term debt / assets MRQ
2,805,108,200,000%
Total debt / assets MRQ
Period end31/03/202631/03/202531/03/202431/03/2023
Total assets19,460,502,900,00016,569,626,100,00015,182,385,300,00013,444,179,600,000
Total liabilities17,302,167,500,00014,690,919,900,00013,607,155,700,00012,142,428,600,000
Total equity2,150,353,500,0001,872,354,900,0001,570,235,200,0001,297,817,100,000

All line items

Line item31/03/202631/03/202531/03/202431/03/2023
Cash and cash equivalents1,093,515,700,0001,026,987,000,0001,380,502,800,0001,392,721,300,000
Short-term investments0000
Cash and short-term investments1,093,515,700,0001,026,987,000,0001,380,502,800,0001,392,721,300,000
Net receivables0311,447,800,000281,508,900,000287,089,600,000
Accounts receivable0311,447,800,000281,508,900,000287,089,600,000
Other receivables0000
Inventory0000
Prepaid expenses001,963,100,0007,488,700,000
Other current assets0-311,447,800,00000
Total current assets1,093,515,700,0001,026,987,000,0001,663,974,800,0001,687,299,600,000
Property, plant and equipment (net)67,560,300,00064,920,800,00058,375,600,00048,525,800,000
Goodwill2,892,400,0002,892,400,0006,577,800,0006,577,800,000
Intangible assets0000
Goodwill and intangible assets2,892,400,0002,892,400,0006,577,800,0006,577,800,000
Long-term investments12,823,921,700,00010,859,344,300,0009,958,892,600,0008,504,598,800,000
Tax assets0054,349,700,00064,057,600,000
Other non-current assets5,472,612,800,0004,615,481,600,0003,440,214,800,0003,133,120,000,000
Total non-current assets18,366,987,200,00015,542,639,100,00013,518,410,500,00011,756,880,000,000
Other assets0000
Total assets19,460,502,900,00016,569,626,100,00015,182,385,300,00013,444,179,600,000
Total payables038,109,800,00036,582,200,00040,979,500,000
Accounts payable038,109,800,00036,582,200,00040,979,500,000
Other payables0000
Accrued expenses0000
Short-term debt0000
Capital lease obligations (current)0000
Tax payables0000
Deferred revenue0000
Other current liabilities13,337,914,400,00011,671,099,100,00010,671,024,000,0009,458,247,200,000
Total current liabilities13,337,914,400,00011,709,208,900,00010,707,606,200,0009,499,226,700,000
Long-term debt2,805,108,200,0002,206,867,500,0002,281,995,500,0001,984,445,700,000
Capital lease obligations (non-current)0000
Deferred revenue (non-current)0000
Deferred tax liabilities (non-current)0000
Other non-current liabilities1,159,144,900,000774,843,500,000617,554,000,000658,756,200,000
Total non-current liabilities3,964,253,100,0002,981,711,000,0002,899,549,500,0002,643,201,900,000
Other liabilities0000
Capital lease obligations0000
Total liabilities17,302,167,500,00014,690,919,900,00013,607,155,700,00012,142,428,600,000
Treasury stock0000
Preferred stock0000
Common stock6,216,300,0006,194,700,0006,173,100,0006,153,700,000
Retained earnings0848,140,800,000652,811,700,000477,692,500,000
Additional paid-in capital0533,580,700,000525,400,000,000519,357,800,000
Accumulated other comprehensive income/loss0484,438,700,00000
Other stockholders' equity2,144,137,200,0000385,850,400,000294,613,100,000
Total stockholders' equity2,150,353,500,0001,872,354,900,0001,570,235,200,0001,297,817,100,000
Total equity2,158,335,400,0001,878,706,200,0001,575,229,600,0001,301,751,000,000
Minority interest7,981,900,0006,351,300,0004,994,400,0003,933,900,000
Total liabilities and total equity19,460,502,900,00016,569,626,100,00015,182,385,300,00013,444,179,600,000
Total investments12,823,921,700,00010,859,344,300,0009,958,892,600,0008,504,598,800,000
Total debt2,805,108,200,0002,206,867,500,0002,281,995,500,0001,984,445,700,000
Net debt1,711,592,500,0001,179,880,500,000901,492,700,000591,724,400,000

Axis Bank Limited Cash Flow Statement

Cash from operations
Cash from investing
Cash flow / share TTM
Revenue / share TTM
Operating cash flow TTM
Period end31/03/202631/03/202531/03/202431/03/2023
Cash from operations-86,367,100,000443,836,800,000-55,546,700,000220,747,800,000
Cash from investing-459,173,000,000-512,151,300,000-90,881,600,000-326,943,800,000
Cash from financing603,576,700,000-70,003,600,000223,412,500,00066,405,400,000
Net change in cash66,528,700,000-137,944,800,00077,852,500,000-36,355,800,000

All line items

Line item31/03/202631/03/202531/03/202431/03/2023
Net income321,304,100,000280,551,100,000350,719,500,000185,211,200,000
Depreciation and amortization18,929,300,00017,669,700,00013,884,600,000131,456,500,000
Deferred income tax000-2,793,000,000
Stock-based compensation4,833,800,0004,305,400,0005,195,700,0002,860,200,000
Change in working capital-552,163,000,00051,790,100,000-427,284,000,000-104,878,200,000
Accounts receivable0000
Inventory0000
Accounts payable0000
Other working capital-552,163,000,00051,790,100,000-427,284,000,000-104,878,200,000
Other non-cash items120,728,700,00089,520,500,0001,937,500,0008,891,100,000
Net cash from operating activities-86,367,100,000443,836,800,000-55,546,700,000220,747,800,000
Investments in property, plant and equipment-22,100,000,000-24,455,400,000-23,854,100,000-13,894,200,000
Acquisitions (net)0125,100,000-3,298,500,000-116,025,400,000
Purchases of investments0-622,238,300,0000-197,141,500,000
Sales/maturities of investments01,356,900,000047,543,300,000
Other investing activities-437,073,000,000133,060,400,000-63,729,000,000-47,426,000,000
Net cash from investing activities-459,173,000,000-512,151,300,000-90,881,600,000-326,943,800,000
Net debt issuance598,238,700,000-75,128,000,000219,859,800,00064,354,100,000
Long-term net debt issuance598,238,700,000-75,128,000,000219,859,800,00064,354,100,000
Short-term net debt issuance0000
Net stock issuance6,808,800,0006,858,400,0005,572,000,0003,802,300,000
Net common stock issuance6,808,800,0006,858,400,0005,572,000,0003,802,300,000
Common stock issuance6,808,800,0006,858,400,0005,572,000,0003,802,300,000
Common stock repurchased0000
Net preferred stock issuance0000
Net dividends paid-3,101,400,000-3,090,900,000-3,079,800,000-3,071,400,000
Common dividends paid-3,101,400,000-3,090,900,000-3,079,800,000-3,071,400,000
Preferred dividends paid0000
Other financing activities1,630,600,0001,356,900,0001,060,500,0001,320,400,000
Net cash from financing activities603,576,700,000-70,003,600,000223,412,500,00066,405,400,000
Effect of FX changes on cash8,492,100,000373,300,000868,300,0003,434,800,000
Net change in cash66,528,700,000-137,944,800,00077,852,500,000-36,355,800,000
Cash at end of period1,093,515,700,0001,026,987,000,0001,164,931,800,0001,087,079,300,000
Cash at beginning of period1,026,987,000,0001,164,931,800,0001,087,079,300,0001,123,435,100,000
Operating cash flow-86,367,100,000443,836,800,000-55,546,700,000220,747,800,000
Capital expenditure-22,100,000,000-24,455,400,000-23,854,100,000-13,894,200,000
Free cash flow-108,467,100,000419,381,400,000-79,400,800,000206,853,600,000
Income taxes paid0000
Interest paid0000