Axis Bank Ltd

AXISBANK
Banks
โ‚น 1,105
Price
โ‚น 342,906
Market Cap
Large Cap
12.31
P/E Ratio

๐Ÿ“Š Score Snapshot

8.48 / 25
Performance
25 / 25
Valuation
3.63 / 20
Growth
7.0 / 30
Profitability
44.12 / 100
Risky

๐Ÿข Company Overview

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๐Ÿค– CARL Insights

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๐Ÿ“ˆ Net Profit (Yearly)

๐Ÿ“Š Sales (Yearly)

๐Ÿ“‰ Quarterly Sales Trend

๐Ÿ“‰ Quarterly Net Profit

๐Ÿ“ˆ Yearly Ratios

Metric Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021 Mar 2020 Mar 2019 Mar 2018
Adj Cash EPS 96.34 -52.96 1.06 53.05 -20.96 36.05 95.50 -201.56
Adj Cash PAT 29,976 -16,239 426.31 16,374 -6,365 10,194 24,572 -51,627
Adj Cash PAT To PAT 1.06 -0.61 0.04 1.15 -0.88 5.43 4.88 -114.71
Adj Cash PE 11.27 - 799.68 14.60 - 9.03 7.98 -
Adj EPS 90.55 85.48 35.14 45.98 23.47 6.56 19.53 1.73
Adj Number Of Shares 309.73 308.64 307.68 307.00 306.34 282.04 257.22 256.18
Adj PE 11.98 12.39 24.42 16.84 30.36 49.53 38.93 318.71
Adj Peg 2.02 0.09 - 0.18 0.12 - 0.04 -
Bvps 606.56 510.37 423.08 386.07 338.73 306.53 263.93 250.91
Cash Revenue 127,374 225,518 174,896 137,692 128,794 127,432 112,088 93,228
Cash Revenue To Revenue 1.00 1.00 1.00 1.00 1.00 1.00 1.00 1.00
Dividend Yield 0.08 0.08 0.12 0.12 - - 0.13 -
Fcfe 20,181 4,756 18,630 63,548 -9,244 3,853 29,967 -52,274
Fcfe Margin 15.84 2.11 10.65 46.15 -7.18 3.02 26.74 -56.07
Fcfe To Adj PAT 0.72 0.18 1.71 4.47 -1.28 2.05 5.96 -116.15
Market Cap 336,243 326,881 264,143 237,787 218,420 91,790 196,053 128,141
PB 1.79 2.08 2.03 2.01 2.10 1.06 2.89 1.99
PE 11.98 12.39 24.42 16.84 30.35 49.54 38.91 281.01
Peg 2.01 0.09 - 0.18 0.12 - 0.04 -
PS 2.64 1.45 1.51 1.73 1.70 0.72 1.75 1.37
ROE 16.32 18.41 8.78 12.78 7.62 2.43 7.61 0.75
Share Price 1,086 1,059 858.50 774.55 713.00 325.45 762.20 500.20

๐Ÿ“Š Quarterly Results

Metric Sep 2025 Jun 2025 Mar 2025 Dec 2024 Sep 2024 Jun 2024 Mar 2024 Dec 2023 Sep 2023 Jun 2023 Mar 2023 Dec 2022 Sep 2022 Jun 2022
Sales 32,310 32,348 32,452 64,324 63,202 62,318 60,462 57,730 54,836 52,492 49,260 45,686 41,566 38,386
Interest 17,971 18,239 18,121 18,040 17,615 17,261 16,727 15,943 14,749 13,972 12,580 11,094 10,150 9,565
Expenses - 14,302 13,983 11,943 11,913 12,412 11,892 11,124 10,506 10,059 9,731 8,101 8,577 7,450 7,168
Financing Profit 36.00 127.00 2,389 2,210 1,575 2,006 2,379 2,416 2,609 2,543 3,948 3,171 3,182 2,460
Financing Margin % 0.11 0.39 7.36 3.44 2.49 3.22 3.93 4.18 4.76 4.84 8.01 6.94 7.66 6.41
Other Income - 7,460 8,053 7,506 6,797 7,603 6,637 7,606 6,272 5,705 5,648 5,388 5,148 4,390 3,423
Exceptional Items - - - - - - - - - - -12,490 - - -
Profit Before Tax 7,496 8,180 9,895 9,007 9,177 8,643 9,985 8,688 8,314 8,192 -3,153 8,319 7,573 5,883
Tax % 25.73 23.24 24.11 24.74 18.97 25.18 23.59 24.95 25.07 25.38 -69.17 25.29 25.58 25.17
Net Profit - 5,567 6,279 7,509 6,779 7,436 6,467 7,630 6,520 6,230 6,113 -5,334 6,215 5,636 4,402
Profit From Associates 9.00 19.00 19.00 16.00 27.00 17.00 17.00 26.00 12.00 14.00 38.00 5.00 10.00 13.00
Minority Share -39.00 -36.00 -34.00 -37.00 -34.00 -31.00 -31.00 -28.00 -25.00 -22.00 -28.00 -27.00 -23.00 -21.00
Exceptional Items At - - - - - - - - - - -10,272 - - -
Profit Excl Exceptional 5,567 6,279 7,509 6,779 7,436 6,467 7,630 6,520 6,230 6,113 4,939 6,215 5,636 4,402
Profit For PE 5,528 6,244 7,475 6,742 7,401 6,436 7,599 6,492 6,204 6,091 4,939 6,187 5,612 4,381
Profit For EPS 5,528 6,244 7,475 6,742 7,401 6,436 7,599 6,492 6,204 6,091 -5,362 6,187 5,612 4,381
EPS In Rs 17.82 20.13 24.13 21.78 23.93 20.83 24.62 21.05 20.13 19.78 -17.43 20.12 18.27 14.26
PAT Margin % 17.23 19.41 23.14 10.54 11.77 10.38 12.62 11.29 11.36 11.65 -10.83 13.60 13.56 11.47
PBT Margin 23.20 25.29 30.49 14.00 14.52 13.87 16.51 15.05 15.16 15.61 -6.40 18.21 18.22 15.33
Tax 1,929 1,901 2,386 2,228 1,741 2,176 2,355 2,168 2,084 2,079 2,181 2,104 1,937 1,481
Yoy Profit Growth % -25.00 -3.00 -2.00 4.00 19.00 6.00 54.00 5.00 11.00 39.00 12.00 56.00 66.00 86.00
Adj PAT 5,567 6,279 7,509 6,779 7,436 6,467 7,630 6,520 6,230 6,113 -26,463 6,215 5,636 4,402
Adj PAT Margin 17.23 19.41 23.14 10.54 11.77 10.38 12.62 11.29 11.36 11.65 -53.72 13.60 13.56 11.47

๐Ÿ’ฐ Profit & Loss

Metric Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021 Mar 2020 Mar 2019 Mar 2018 Mar 2017 Mar 2016 Mar 2015 Mar 2014
Sales 127,374 225,518 174,896 137,692 128,794 127,432 112,088 93,228 90,350 82,818 71,454 61,472
Interest 71,036 61,391 43,389 34,923 34,627 37,996 33,883 27,604 26,789 24,344 21,341 18,703
Expenses - 46,395 40,036 30,641 31,216 32,621 35,976 28,020 29,717 24,327 13,869 11,521 9,944
Financing Profit 9,943 11,333 13,418 2,707 -2,851 -10,256 -5,860 -10,706 -5,941 3,196 2,865 2,089
Financing Margin % 7.81 5.03 7.67 1.97 -2.21 -8.05 -5.23 -11.48 -6.58 3.86 4.01 3.40
Other Income - 28,553 25,235 18,357 17,274 13,586 16,347 14,214 11,879 12,425 9,949 8,842 7,781
Exceptional Items -10.00 -4.00 -8.00 -6.00 -9.00 -5.00 -25.00 -17.00 -4.00 6.00 -4.00 -15.00
Depreciation 1,763 1,385 13,146 1,046 976.00 806.00 737.00 591.00 527.00 461.00 420.00 375.00
Profit Before Tax 36,722 35,178 18,621 18,929 9,750 5,280 7,592 566.00 5,954 12,690 11,283 9,479
Tax % 23.23 24.69 41.36 24.95 25.62 64.41 33.52 18.02 33.37 34.14 33.97 33.42
Net Profit - 28,191 26,492 10,919 14,207 7,252 1,879 5,047 464.00 3,967 8,358 7,450 6,311
Profit From Associates 79.00 69.00 66.00 43.00 - - - - - - 1.00 1.00
Minority Share -136.00 -106.00 -100.00 -88.00 -57.00 -26.00 -8.00 -8.00 -14.00 -8.00 -2.00 -
Exceptional Items At -8.00 -3.00 -4.00 -5.00 -6.00 -2.00 -14.00 41.00 - 4.00 -2.00 -9.00
Profit Excl Exceptional 28,199 26,496 10,923 14,211 7,259 1,881 5,061 423.00 3,968 8,354 7,452 6,320
Profit For PE 28,063 26,390 10,823 14,124 7,202 1,855 5,053 416.00 3,954 8,346 7,450 6,319
Profit For EPS 28,055 26,386 10,818 14,119 7,196 1,853 5,039 456.00 3,953 8,350 7,448 6,310
EPS In Rs 90.58 85.49 35.16 45.99 23.49 6.57 19.59 1.78 16.51 35.04 31.42 26.86
Dividend Payout % 1.00 1.00 3.00 2.00 - - 5.00 - 30.00 14.00 15.00 15.00
PAT Margin % 22.13 11.75 6.24 10.32 5.63 1.47 4.50 0.50 4.39 10.09 10.43 10.27
PBT Margin 28.83 15.60 10.65 13.75 7.57 4.14 6.77 0.61 6.59 15.32 15.79 15.42
Tax 8,531 8,686 7,702 4,722 2,498 3,401 2,545 102.00 1,987 4,332 3,833 3,168
Adj PAT 28,183 26,489 10,914 14,202 7,245 1,877 5,030 450.06 3,964 8,362 7,447 6,301
Adj PAT Margin 22.13 11.75 6.24 10.31 5.63 1.47 4.49 0.48 4.39 10.10 10.42 10.25

๐Ÿฆ Balance Sheet

Metric Sep 2025 Mar 2025 Mar 2024 Sep 2023 Mar 2023 Mar 2022 Mar 2021 Mar 2020 Mar 2019 Mar 2018
Accumulated Depreciation - 21,728 20,645 - 19,607 6,668 5,819 4,900 4,184 3,527
Average Total Assets - 1,587,601 1,431,328 - 1,270,098 1,098,392 964,438 870,959 758,874 657,582
Average Total Equity - 172,696 143,848 - 124,348 111,145 95,111 77,170 66,082 60,359
Borrowing 240,841 220,687 228,200 - 206,214 199,778 152,249 155,180 161,250 155,767
Cwip - 121.00 267.00 - 142.00 215.00 118.00 483.00 288.00 352.00
Cash Equivalents 63,843 65,564 76,443 - 56,452 84,194 39,135 76,971 30,886 30,223
Deposits 1,201,656 1,170,921 1,067,102 - 945,825 821,165 698,303 642,157 550,746 455,658
Fixed Assets 6,620 6,661 5,860 - 5,000 4,753 4,501 3,912 3,842 3,697
Gross Block - 28,389 26,505 - 24,606 11,422 10,319 8,812 8,026 7,224
Investments 392,986 396,685 332,354 - 288,095 274,608 225,336 155,282 174,056 153,037
Loans N Advances 1,161,626 1,201 196.00 - 749.00 784.00 940.00 1,670 1,710 1,859
Long Term Borrowings - - - - - - - - 161,250 155,767
Net Debt -456,829 -462,249 886,505 - 807,491 662,141 586,080 565,084 507,054 428,165
Non Controlling Interest 710.00 635.00 499.00 - 393.00 261.00 174.00 114.00 85.00 70.00
Other Asset Items 105,034 1,186,731 1,103,119 - 993,981 831,224 730,975 689,555 603,265 514,536
Other Borrowings - - 1,295,302 - 1,152,038 1,020,943 850,551 797,337 550,746 455,658
Other Liability Items 88,642 71,291 58,700 - 52,661 47,815 39,653 40,391 30,378 23,084
Reserves 197,639 186,616 156,406 - 129,166 117,647 102,981 85,776 67,288 63,694
Share Capital 621.00 619.00 617.00 616.00 615.00 614.00 613.00 564.00 514.00 513.00
Total Assets 1,730,109 1,656,963 1,518,239 - 1,344,418 1,195,779 1,001,005 927,872 814,046 703,703
Total Borrowings - - 1,295,302 - 1,152,038 1,020,943 850,551 797,337 711,996 611,425
Total Equity 198,970 187,870 157,522 616.00 130,174 118,522 103,768 86,454 67,887 64,277
Total Equity And Liabilities 1,730,109 1,656,963 1,518,239 - 1,344,418 1,195,779 1,001,005 927,872 814,046 703,703
Total Liabilities 1,531,139 1,469,093 1,360,717 -616.00 1,214,244 1,077,257 897,237 841,418 746,159 639,426
Trade Payables - 6,194 6,714 - 9,544 8,499 7,033 3,690 3,785 4,918

๐Ÿ’ต Cash Flows

Metric Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021 Mar 2020 Mar 2019 Mar 2018
Cash From Financing Activity -7,000 22,341 6,641 47,894 7,279 8,865 5,643 41,342
Cash From Investing Activity -51,178 -9,001 -32,351 -27,112 -54,288 -9,485 -18,674 -10,007
Cash From Operating Activity 44,384 -5,555 22,075 28,137 12,633 30,416 37,125 -38,390
Cash Paid For Acquisition Of Companies - - - - - - - -395.00
Cash Paid For Investment In Subsidaries And Associates -1,612 - - - - - - -
Cash Paid For Loan Advances -93,763 -137,622 -149,553 -106,572 -63,518 -86,703 -66,702 -83,305
Cash Paid For Purchase Of Fixed Assets -2,446 -2,385 -1,389 -1,409 -938.00 -1,104 -880.00 -855.00
Cash Paid For Purchase Of Investments -47,170 -6,382 -19,714 -25,830 -53,270 -8,582 -17,866 -8,809
Cash Paid For Redemption Of Debentures - - - - - - - -
Cash Paid For Repayment Of Borrowings -7,513 - -6,000 -2,377 -2,931 -6,070 -1,700 -
Cash Receipts From Deposits 1,170,921 1,067,102 945,825 821,165 698,303 642,157 550,746 455,658
Cash Received From Borrowings - 21,986 12,435 49,907 - - 7,183 -
Cash Received From Issue Of Shares 686.00 557.00 380.00 277.00 10,151 15,238 172.00 8,833
Cash Received From Sale Of Fixed Assets 13.00 9.00 12.00 7.00 14.00 27.00 55.00 12.00
Cash Received From Sale Of Investments - - - - - - - -
Change In Other Working Capital Items -8,263 -26,384 13,904 -13,869 -15,558 3,608 -8,844 -9,447
Change In Working Capital 1,793 -42,728 -10,488 2,171 -13,610 8,317 19,542 -52,077
Direct Taxes Paid -8,148 -7,231 -6,687 -4,446 -2,027 -3,037 -3,122 -3,283
Dividends Paid -309.00 -308.00 -307.00 - - -332.00 -27.00 -1,457
Net Cash Flow -13,794 7,785 -3,636 48,919 -34,375 29,795 24,094 -7,055
Operating Deposits 103,818 121,278 125,161 122,612 65,466 91,411 95,088 40,675
Other Cash Financing Items Paid 136.00 106.00 132.00 88.00 60.00 29.00 15.00 33,967
Other Cash Investing Items Paid 37.00 -243.00 -11,259 120.00 -93.00 174.00 17.00 40.00
Profit From Operations 50,739 44,405 39,249 30,412 28,270 25,136 20,705 16,969

๐Ÿงพ Shareholding Pattern

Nse Code Date Promoters Fii Dii Public Others
Axisbank 2025-09-30 - 41.89 42.87 7.06 0.00
Axisbank 2025-06-30 - 43.81 41.22 6.80 0.00
Axisbank 2025-03-31 - 43.94 40.87 6.99 0.00
Axisbank 2024-12-31 - 47.32 37.48 6.97 0.00
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