Axis Bank Limited

NSE:AXISBANK.NS

1187.3 (INR) • At close April 29, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) INR.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operating Activities:
Net Income 263,862185,211.2188,418.696,931.87552,544.04375,835.5115,576.75359,398.037126,820.48112,812.99994,790.06176,243.42262,699.93250,971.94438,190.52127,826.40416,348.1089,914.0417,313.0115,038.0684,296.198
Depreciation & Amortization 13,884.6131,456.510,489.99,793.9038,060.7357,371.6945,905.7995,266.7154,613.9034,196.4433,754.5533,587.6673,481.5173,542.3123,208.2263,905.4112,572.612,804.3481,894.7831,390.054792.682
Deferred Income Tax 0-2,79351,005.4000000000000000000
Stock Based Compensation 5,195.72,860.21,507.7000000000000000000
Change In Working Capital -427,284-104,878.221,713.6-136,101.32483,165.612195,415.445-520,766.987187,918.041-434,709.221-250,566.459,128.799-45,719.68-153,657.20465,260.423-40,459.64974,301.37343,415.60542,287.07-5,390.87738,399.6316,199.681
Accounts Receivables 000000000000000000000
Inventory 000000000000000000000
Accounts Payables 000000000000000000000
Other Working Capital -427,284-104,878.221,713.6-136,101.32483,165.612-755,466.264-927,517.877-378,887-829,469.452-667,598-224,790.762-367,500000000000
Other Non Cash Items -1,123,981.98,891.18,237.8155,704.357160,385.96692,629.829125,381.45369,503.395-7,491.919-18,068.045-13,037.45-8,377.635-11,567.031-6,497.825-1,132.516-2,676.271-937.442-2,102.283-1,415.235-1,485.853485.226
Operating Cash Flow -1,268,323.6220,747.8281,373126,328.811304,156.356371,252.479-383,902.982322,086.188-310,766.757-151,625.003144,635.96325,733.774-99,042.786113,276.854-193.418103,356.91761,398.88152,903.1762,401.68243,341.89921,773.787
Investing Activities:
Investments In Property Plant And Equipment -23,854.1-13,894.2-14,089.7-9,384.365-11,042.694-8,803.657-8,549.837-7,737.105-14,944.047-5,385.634-6,077.888-4,838.186-3,965.641-13,711.316-4,149.325-3,883.299-4,417.436-2,273.87-1,473.932-1,701.626-1,942.352
Acquisitions Net -3,298.5-116,025.472.5135.5273.426547.233-3,954.55665.195192.654000000000000
Purchases Of Investments 0-197,141.5-500,201-729,139.3-85,819.362-178,658.506-88,085.436-116,759.648-176,129.0280000-125,320.416-46,793.087-91,764.56-44,515.738-34,264.647-19,542.984-56,623.6580
Sales Maturities Of Investments 047,543.3876601.9244,614.109151.01882.063127,150.907107,083.4370000000000020.824
Other Investing Activites -63,729-47,426241,021.2195,838.053-244,614.109-151.018120.499-116,694.453107,196.906-73,735.911-134,495.212-108,482.538-46,441.625133.71189.68399.91126.37234.85542.23529.1112.155
Investing Cash Flow -90,881.6-326,943.8-272,321-541,948.212-96,588.63-186,914.93-100,469.33-124,431.55892,252.859-79,121.545-140,573.1-113,320.724-50,407.266-138,898.022-50,752.732-95,247.949-48,806.802-36,503.662-20,974.681-58,296.174-1,909.373
Financing Activities:
Debt Repayment 219,859.864,354.1475,294.5-29,314.4-60,696.63154,827.368339,583.309-13,929.706235,182.284316,542.79886,341.253100,334.26378,037.89790,983.31216,496.80219,050.63-720.80217,128.1210,0001,5001,500
Common Stock Issued 5,5723,802.32,770.3101,505.8152,377.131,717.06588,329.553,280.6793,053.4434,811.5471,375.7256,756.2641,363.4012,407.704461.6912.95445,466.82129.401849.46710,238.7647.749
Common Stock Repurchased 000000000000000000000
Dividends Paid -3,079.8-3,071.400-3,318.569-269.486-14,574.034-14,442.57-13,368.029-11,088.076-9,875.875-7,901.877-6,699.437-5,695.356-4,205.528-2,515.993-1,488.087-1,117.416-887.41-656.513-477.123
Other Financing Activities 1,213,837.41,320.41,226,991.3601.9914,402.145951,032.72782.063566,804.82179.185417,030.962283,923.645125.3370040,287.519343,373.0820330.025000
Financing Cash Flow 1,436,189.466,405.4478,940.872,793.31988,651.3456,425.965413,420.888-24,869.077190,766.883310,448.20877,845.182149,313.98772,701.86187,695.6653,040.48316,923.20543,257.93216,370.139,962.05711,082.2471,070.626
Other Information:
Effect Of Forex Changes On Cash 868.33,434.81,198.7-928.1361,735.596171.437-43.096-152.465-145.879-602.243-1,085.7071,677.32,003.938-46.833-204.113106.6122.135-5.015000
Net Change In Cash 77,852.5-36,355.8489,191.5-343,754.218297,954.662240,934.951-70,553.048172,633.088-27,892.89479,099.41780,822.33865,656.924-74,744.25362,027.6591,890.2225,138.78355,872.14632,764.629-8,610.942-3,872.02820,935.04
Cash At End Of Period 1,164,931.81,087,079.31,123,435.1634,243.526977,997.744680,043.082439,108.131509,661.179337,028.091364,920.985285,821.568204,999.23139,342.306214,086.559152,084.2150,193.98125,055.19769,183.05136,418.42252,760.08956,632.117