Canara Bank

CANBK
Banks
โ‚น 110.96
Price
โ‚น 100,666
Market Cap
Large Cap
5.45
P/E Ratio

๐Ÿ“Š Score Snapshot

4.64 / 25
Performance
25 / 25
Valuation
0.0 / 20
Growth
7.0 / 30
Profitability
36.64 / 100
Avoid

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 55.66 4.67 -60.43 -13.09 48.26 -35.50 22.10 -63.42
Adj Cash PAT 50,632 4,357 -54,716 -11,841 39,814 -18,198 8,409 -23,165
Adj Cash PAT To PAT 2.86 0.28 -4.72 -1.92 13.36 9.47 12.06 5.98
Adj Cash PE 1.62 26.46 - - 0.65 - 2.53 -
Adj EPS 19.34 16.85 12.68 6.76 3.54 -3.86 1.60 -10.79
Adj Number Of Shares 906.93 907.30 906.93 907.41 823.65 514.51 376.25 366.51
Adj PE 4.65 7.31 4.61 7.12 8.93 - 34.82 -
Adj Peg 0.31 0.22 0.05 0.08 - - - -
Bvps 117.55 102.65 87.06 78.01 76.74 81.51 101.95 102.10
Cash Revenue 121,601 221,038 171,770 141,228 140,506 99,518 95,902 82,690
Cash Revenue To Revenue 1.00 1.00 1.00 1.00 1.00 1.00 1.00 1.00
Dividend Yield 4.51 2.60 4.14 2.67 - - - -
Fcfe 55,226 4,320 -50,836 -8,791 39,824 -15,961 7,496 -23,344
Fcfe Margin 45.42 1.95 -29.60 -6.22 28.34 -16.04 7.82 -28.23
Fcfe To Adj PAT 3.12 0.28 -4.39 -1.43 13.37 8.30 10.75 6.02
Market Cap 81,624 111,598 51,595 43,547 25,756 8,659 21,066 20,957
PB 0.77 1.20 0.65 0.62 0.41 0.21 0.55 0.56
PE 4.65 7.30 4.58 7.11 8.91 - 34.99 -
Peg 0.31 0.20 0.05 0.08 - - - -
PS 0.67 0.50 0.30 0.31 0.18 0.09 0.22 0.25
ROE 17.72 17.91 15.48 9.21 5.67 -4.79 1.84 -10.68
Share Price 90.00 123.00 56.89 47.99 31.27 16.83 55.99 57.18

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 32,072 31,523 31,496 61,502 60,364 58,346 58,572 56,984 54,580 50,902 48,608 45,122 40,964 37,074
Interest 22,412 21,992 21,556 21,163 20,427 19,534 19,226 18,620 17,934 16,337 15,292 13,622 12,681 11,396
Expenses - 13,251 13,141 12,124 10,752 12,066 12,010 13,198 12,001 10,859 10,990 12,253 10,831 11,326 9,382
Financing Profit -3,591 -3,610 -2,185 -1,165 -2,312 -2,371 -3,138 -2,129 -1,504 -1,876 -3,241 -1,891 -3,525 -2,241
Financing Margin % -11.20 -11.45 -6.94 -1.89 -3.83 -4.06 -5.36 -3.74 -2.76 -3.69 -6.67 -4.19 -8.61 -6.04
Other Income - 9,942 9,919 8,761 6,679 7,824 7,793 8,098 7,138 6,602 6,809 7,470 5,777 6,876 5,202
Exceptional Items - -1,833 - - - - - - - - - - - -
Profit Before Tax 6,351 4,475 6,576 5,515 5,513 5,422 4,960 5,009 5,098 4,933 4,229 3,886 3,351 2,961
Tax % 22.91 27.75 22.28 22.83 23.33 24.42 19.54 23.60 24.89 23.88 20.45 21.31 18.53 25.94
Net Profit - 4,896 3,233 5,111 4,256 4,227 4,098 3,991 3,827 3,829 3,755 3,364 3,058 2,730 2,193
Profit From Associates 31.00 229.00 14.00 95.00 126.00 121.00 197.00 88.00 151.00 181.00 131.00 135.00 136.00 135.00
Minority Share -46.00 -38.00 -41.00 -42.00 -39.00 -31.00 -39.00 -36.00 -31.00 -16.00 -27.00 -25.00 -24.00 -13.00
Exceptional Items At - -1,833 - - - - - - - - - - - -
Profit Excl Exceptional 4,896 5,066 5,111 4,256 4,227 4,098 3,991 3,827 3,829 3,755 3,364 3,058 2,730 2,193
Profit For PE 4,850 5,007 5,070 4,214 4,188 4,068 3,952 3,790 3,798 3,739 3,337 3,033 2,706 2,180
Profit For EPS 4,850 3,195 5,070 4,214 4,188 4,068 3,952 3,790 3,798 3,739 3,337 3,033 2,706 2,180
EPS In Rs 5.35 3.52 5.59 4.65 4.62 4.48 4.36 4.18 4.19 4.12 3.68 3.34 2.98 2.40
PAT Margin % 15.27 10.26 16.23 6.92 7.00 7.02 6.81 6.72 7.02 7.38 6.92 6.78 6.66 5.92
PBT Margin 19.80 14.20 20.88 8.97 9.13 9.29 8.47 8.79 9.34 9.69 8.70 8.61 8.18 7.99
Tax 1,455 1,242 1,465 1,259 1,286 1,324 969.00 1,182 1,269 1,178 865.00 828.00 621.00 768.00
Yoy Profit Growth % 16.00 23.00 28.00 11.00 10.00 9.00 18.00 25.00 40.00 72.00 74.00 18.00 127.00 83.00
Adj PAT 4,896 1,909 5,111 4,256 4,227 4,098 3,991 3,827 3,829 3,755 3,364 3,058 2,730 2,193
Adj PAT Margin 15.27 6.05 16.23 6.92 7.00 7.02 6.81 6.72 7.02 7.38 6.92 6.78 6.66 5.92

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 121,601 221,038 171,770 141,228 140,506 99,518 95,902 82,690 82,914 88,078 87,626 79,140
Interest 82,681 72,118 52,990 43,035 45,182 35,817 32,339 29,113 31,540 34,263 34,133 30,606
Expenses - 46,082 46,146 42,772 41,235 43,437 26,809 27,202 25,582 15,691 17,785 10,302 9,636
Financing Profit -7,162 -7,745 -9,877 -13,657 -18,367 -12,867 -11,590 -13,350 -5,775 -8,008 -621.00 -672.00
Financing Margin % -5.89 -3.50 -5.75 -9.67 -13.07 -12.93 -12.09 -16.14 -6.97 -9.09 -0.71 -0.85
Other Income - 31,054 28,630 25,016 23,629 23,057 11,801 9,910 7,403 7,851 5,267 4,718 4,141
Exceptional Items 2.00 16.00 309.00 14.00 29.00 -1.00 -3.00 -5.00 1.00 -1.00 15.00 2.00
Depreciation 870.00 902.00 1,021 841.00 838.00 446.00 429.00 456.00 331.00 172.00 429.00 230.00
Profit Before Tax 23,025 20,000 14,427 9,145 3,882 -1,514 -2,111 -6,408 1,746 -2,914 3,683 3,242
Tax % 23.16 22.99 21.36 32.66 23.83 -26.88 132.97 39.56 19.19 13.01 20.42 17.58
Net Profit - 17,692 15,401 11,345 6,158 2,957 -1,921 696.00 -3,873 1,411 -2,535 2,931 2,672
Profit From Associates 356.00 619.00 537.00 363.00 255.00 102.00 149.00 215.00 177.00 - 73.00 83.00
Minority Share -152.00 -122.00 -90.00 -34.00 -66.00 -65.00 -94.00 -79.00 -53.00 -72.00 -66.00 -42.00
Exceptional Items At 2.00 16.00 309.00 14.00 29.00 -1.00 -3.00 -5.00 1.00 -1.00 12.00 2.00
Profit Excl Exceptional 17,690 15,385 11,036 6,144 2,928 -1,920 699.00 -3,868 1,409 -2,535 2,919 2,670
Profit For PE 17,537 15,262 10,948 6,110 2,863 -1,920 604.00 -3,868 1,357 -2,535 2,853 2,628
Profit For EPS 17,540 15,279 11,255 6,125 2,891 -1,986 602.00 -3,951 1,358 -2,607 2,865 2,630
EPS In Rs 19.34 16.84 12.41 6.75 3.51 -3.86 1.60 -10.78 4.55 -8.73 10.96 10.37
Dividend Payout % 21.00 19.00 19.00 19.00 - - - - 4.00 - 17.00 19.00
PAT Margin % 14.55 6.97 6.60 4.36 2.10 -1.93 0.73 -4.68 1.70 -2.88 3.34 3.38
PBT Margin 18.93 9.05 8.40 6.48 2.76 -1.52 -2.20 -7.75 2.11 -3.31 4.20 4.10
Tax 5,333 4,599 3,082 2,987 925.00 407.00 -2,807 -2,535 335.00 -379.00 752.00 570.00
Adj PAT 17,694 15,413 11,588 6,167 2,979 -1,922 696.99 -3,876 1,412 -2,536 2,943 2,674
Adj PAT Margin 14.55 6.97 6.75 4.37 2.12 -1.93 0.73 -4.69 1.70 -2.88 3.36 3.38

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 - 8,054 8,177 - 7,728 7,206 6,668 4,395 4,010 3,725
Average Total Assets - 1,632,854 1,458,024 - 1,319,910 1,219,164 960,490 726,612 671,609 613,797
Average Total Equity - 99,870 86,046 - 74,872 66,994 52,570 40,146 37,888 36,301
Borrowing 91,131 89,665 57,538 - 58,073 46,285 50,013 42,762 41,043 38,910
Cwip - 152.00 147.00 - - 2.00 2.00 - - -
Cash Equivalents 68,929 86,837 67,707 - 51,074 47,532 38,711 17,972 26,715 19,451
Deposits 1,527,472 1,456,495 1,312,242 - 1,179,086 1,086,341 1,010,985 625,408 599,123 524,847
Fixed Assets 10,223 10,149 12,184 - 10,334 11,447 11,269 8,323 8,433 8,335
Gross Block - 18,203 20,361 - 18,062 18,653 17,937 12,718 12,443 12,060
Investments 444,689 426,188 399,207 - 352,893 311,347 286,191 192,645 168,678 157,444
Loans N Advances 1,130,282 16,094 17,588 - 19,641 16,086 13,721 13,097 15,672 7,313
Long Term Borrowings - - - - - - - - 41,043 38,910
Net Debt -513,618 -513,025 902,866 - 833,193 773,747 736,096 457,553 444,773 386,861
Non Controlling Interest 1,169 1,190 1,000 - 904.00 825.00 793.00 730.00 668.00 522.00
Other Asset Items 157,380 1,191,269 1,038,185 - 947,088 872,374 829,645 509,403 492,285 438,892
Other Borrowings - - 1,369,780 - 1,237,160 1,132,626 1,060,998 668,170 599,123 524,847
Other Liability Items 76,529 75,352 69,580 - 62,723 53,011 53,272 30,214 31,650 28,964
Reserves 113,388 103,603 90,319 - 76,240 68,147 60,763 40,176 36,936 36,164
Share Capital 1,814 1,814 1,814 1,814 1,814 1,814 1,647 1,030 753.00 733.00
Total Assets 1,811,503 1,730,691 1,535,018 - 1,381,030 1,258,789 1,179,540 741,440 711,783 631,435
Total Borrowings - - 1,369,780 - 1,237,160 1,132,626 1,060,998 668,170 640,166 563,756
Total Equity 116,371 106,607 93,133 1,814 78,958 70,786 63,203 41,936 38,357 37,419
Total Equity And Liabilities 1,811,503 1,730,691 1,535,018 - 1,381,030 1,258,789 1,179,540 741,440 711,783 631,435
Total Liabilities 1,695,132 1,624,084 1,441,885 -1,814 1,302,072 1,188,003 1,116,337 699,504 673,426 594,016
Trade Payables - 2,573 2,524 - 2,189 2,366 2,067 1,120 1,610 1,295

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 -3,506 -3,834 445.00 4,035 290.00 7,792 -1,185 2,865
Cash From Investing Activity -2,437 -1,750 -1,156 -1,429 -1,116 -445.00 -745.00 -487.00
Cash From Operating Activity 60,669 15,046 -39,978 919.00 59,118 -5,289 18,237 -11,120
Cash Paid For Acquisition Of Companies -819.00 -589.00 -578.00 -540.00 -222.00 -271.00 -171.00 -175.00
Cash Paid For Investment In Subsidaries And Associates -819.00 - - - - - - -
Cash Paid For Loan Advances -127,136 -109,739 -136,537 -64,578 -22,484 -4,289 -46,040 -39,754
Cash Paid For Purchase Of Fixed Assets - -1,253 -613.00 -821.00 -923.00 -338.00 -606.00 -460.00
Cash Paid For Redemption And Cancellation Of Shares - - - - - - - -
Cash Paid For Redemption Of Debentures -4,900 -2,500 -1,950 -2,930 -2,619 -600.00 -565.00 -
Cash Paid For Repayment Of Borrowings -4,900 - - - - - - -
Cash Receipts From Deposits 1,456,495 1,312,242 1,179,086 1,086,341 1,010,985 625,408 599,123 524,847
Cash Received From Borrowings 7,000 - - - - - - -
Cash Received From Issue Of Debentures 7,000 3,403 6,000 6,500 2,936 3,000 - -
Cash Received From Issue Of Shares - - - 2,490 1,991 6,509 557.00 4,865
Cash Received From Sale Of Fixed Assets 1,162 - - - - - - -
Change In Other Working Capital Items 15,821 -34,473 -22,513 -28,786 -46,099 -38,273 -20,524 -9,115
Change In Working Capital 32,938 -11,056 -66,304 -18,008 36,835 -16,276 7,712 -19,289
Direct Taxes Paid -4,103 -2,891 -4,197 -4,150 -1,595 1,601 -1,215 -3,018
Dividends Paid -2,921 -2,177 -1,179 - - - - -68.00
Interest Paid -2,685 -2,561 -2,425 -2,025 -2,014 -1,116 -1,177 -1,232
Investment Income 115.00 95.00 69.00 56.00 72.00 68.00 50.00 53.00
Net Cash Flow 54,725 9,462 -40,689 3,525 58,291 2,059 16,307 -8,743
Operating Deposits 144,253 133,156 92,746 75,356 105,418 26,285 74,276 29,581
Other Cash Financing Items Paid - - - - -4.00 - - -700.00
Other Cash Investing Items Paid -2,780 92.00 35.00 -68.00 29.00 165.00 31.00 147.00
Other Cash Operating Items Paid - - - - - - - -
Profit From Operations 31,834 28,994 30,523 23,077 23,877 9,386 11,739 9,687

๐Ÿงพ Shareholding Pattern

Nse Code Date Promoters Fii Dii Public Others
Canbk 2025-09-30 - 11.89 12.23 12.92 0.00
Canbk 2025-06-30 - 11.38 11.41 14.27 0.00
Canbk 2025-03-31 - 10.54 11.85 14.67 0.00
Canbk 2024-12-31 - 11.10 11.71 14.24 0.00
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