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ICICI Bank (IBN)

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  • 25.680
  • -0.100-0.39%
Close May 13 15:59 ET
  • 25.680
  • 0.0000.00%
Pre 04:00 ET
92.04BMarket Cap16.43P/E (TTM)

ICICI Bank (IBN) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2026
(Q4)Mar 31, 2026
(Q3)Dec 31, 2025
(Q2)Sep 30, 2025
(Q1)Jun 30, 2025
(FY)Mar 31, 2025
(Q4)Mar 31, 2025
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
Assets
Cash cash equivalents and federal funds sold
11.19%2.65T
11.19%2.65T
3.98%1.79T
1.94%1.68T
46.33%1.97T
25.34%2.38T
25.34%2.38T
42.04%1.73T
27.33%1.64T
5.56%1.35T
-Cash and cash equivalents
11.19%2.65T
11.19%2.65T
3.98%1.79T
1.94%1.68T
46.33%1.97T
25.34%2.38T
25.34%2.38T
42.04%1.73T
27.33%1.64T
5.56%1.35T
Receivables
----
----
----
----
----
-1.07%701.77B
-1.07%701.77B
----
----
----
-Accounts receivable
----
----
----
----
----
14.30%238.38B
14.30%238.38B
----
----
----
-Notes receivable
----
----
----
----
----
-7.47%463.39B
-7.47%463.39B
----
----
----
Prepaid assets
----
----
----
----
----
21.53%10.73B
21.53%10.73B
----
----
----
Net loan
19.67%16.45T
19.67%16.45T
11.10%15.52T
9.71%14.92T
10.94%14.46T
13.52%13.74T
13.52%13.74T
13.67%13.97T
15.05%13.6T
15.84%13.03T
-Gross loan
19.67%16.45T
19.67%16.45T
11.10%15.52T
9.71%14.92T
10.94%14.46T
13.52%13.74T
13.52%13.74T
13.67%13.97T
15.05%13.6T
15.84%13.03T
Securities and investments
20.45%8.71T
20.45%8.71T
6.09%9.01T
2.86%9T
5.61%9.06T
9.39%7.23T
9.39%7.23T
12.53%8.49T
22.30%8.75T
23.83%8.58T
-Available for sale securities
----
----
----
----
5.61%9.06T
9.39%7.23T
9.39%7.23T
----
----
--8.58T
Long term equity investment
----
----
----
----
----
49.98%22.65B
49.98%22.65B
----
----
----
Derivative assets
----
----
----
----
----
-4.91%161.65B
-4.91%161.65B
----
----
----
Net PPE
10.17%174.2B
10.17%174.2B
15.81%170.15B
16.19%165.62B
18.32%161.67B
19.43%158.12B
19.43%158.12B
23.33%146.93B
22.27%142.54B
22.49%136.63B
-Gross PPE
----
----
----
----
----
15.63%312.1B
15.63%312.1B
----
----
----
-Accumulated depreciation
----
----
----
----
----
-11.97%-153.98B
-11.97%-153.98B
----
----
----
Goodwill and other intangible assets
24.71%105.5B
24.71%105.5B
260.35%104.87B
190.68%84.59B
190.68%84.59B
241.91%84.59B
241.91%84.59B
2,771.98%29.1B
2,771.98%29.1B
2,771.98%29.1B
-Goodwill
24.71%105.5B
24.71%105.5B
260.35%104.87B
190.68%84.59B
190.68%84.59B
241.91%84.59B
241.91%84.59B
2,771.98%29.1B
2,771.98%29.1B
2,771.98%29.1B
Other assets
-43.30%1.06T
-43.30%1.06T
-1.74%930.4B
1.78%1.02T
0.25%957.11B
-0.83%1.87T
-0.83%1.87T
4.64%946.9B
15.63%1T
14.16%954.72B
Total assets
10.30%29.14T
10.30%29.14T
8.77%27.53T
6.75%26.86T
10.85%26.69T
11.77%26.42T
11.77%26.42T
14.65%25.31T
18.43%25.17T
18.02%24.07T
Liabilities
Total deposits
11.17%18.3T
11.17%18.3T
9.15%16.93T
7.61%16.46T
12.66%16.41T
13.73%16.46T
13.73%16.46T
13.49%15.51T
15.41%15.3T
14.76%14.57T
Payables
----
----
----
----
----
-6.84%751.12B
-6.84%751.12B
----
----
----
-Accounts payable
----
----
----
----
----
8.13%42.15B
8.13%42.15B
----
----
----
-Other payable
----
----
----
----
----
-7.60%708.97B
-7.60%708.97B
----
----
----
Current debt and capital lease obligation
----
----
----
----
----
30.79%226.22B
30.79%226.22B
----
----
----
-Current debt
----
----
----
----
----
30.79%226.22B
30.79%226.22B
----
----
----
Long term provisions
----
----
----
----
----
11.60%68.75B
11.60%68.75B
----
----
----
Long term debt and capital lease obligation
21.67%2.2T
21.67%2.2T
-0.72%2.15T
-2.06%2.15T
4.42%2.15T
-1.46%1.81T
-1.46%1.81T
7.98%2.17T
15.84%2.2T
12.60%2.06T
-Long term debt
21.67%2.2T
21.67%2.2T
-0.72%2.15T
-2.06%2.15T
4.42%2.15T
-1.46%1.81T
-1.46%1.81T
7.98%2.17T
15.84%2.2T
12.60%2.06T
Derivative product liabilities
----
----
----
----
----
5.27%185.82B
5.27%185.82B
----
----
----
Other liabilities
33.44%4.85T
33.44%4.85T
5.34%4.79T
0.43%4.74T
2.05%4.67T
6.44%3.63T
6.44%3.63T
16.98%4.55T
27.18%4.72T
29.06%4.58T
Total liabilities
9.57%25.35T
9.57%25.35T
7.41%23.88T
5.13%23.35T
9.57%23.23T
10.48%23.13T
10.48%23.13T
13.61%22.23T
17.77%22.21T
17.35%21.2T
Shareholders'equity
Share capital
0.54%14.32B
0.54%14.32B
1.29%14.3B
1.38%14.29B
1.41%14.27B
1.42%14.25B
1.42%14.25B
0.64%14.12B
0.62%14.09B
0.57%14.07B
-common stock
0.54%14.32B
0.54%14.32B
1.29%14.3B
1.38%14.29B
1.41%14.27B
1.42%14.25B
1.42%14.25B
0.64%14.12B
0.62%14.09B
0.57%14.07B
Paid-in capital
----
----
----
----
----
16.58%609.63B
16.58%609.63B
----
----
----
Retained earnings
----
----
----
----
----
31.79%1.18T
31.79%1.18T
----
----
----
Gains losses not affecting retained earnings
173.87%3.59T
173.87%3.59T
19.12%3.45T
19.77%3.32T
20.85%3.26T
17.85%1.31T
17.85%1.31T
20.02%2.89T
20.76%2.77T
20.57%2.7T
Other equity interest
29.58%26.82B
29.58%26.82B
38.70%24.99B
40.37%23.17B
41.32%21.43B
47.29%20.7B
47.29%20.7B
45.00%18.02B
53.13%16.51B
65.51%15.16B
Total stockholders'equity
15.66%3.63T
15.66%3.63T
19.15%3.49T
19.80%3.36T
20.87%3.3T
22.55%3.14T
22.55%3.14T
20.04%2.93T
20.79%2.8T
20.63%2.73T
Non controlling interests
11.28%165.11B
11.28%165.11B
8.24%169.31B
4.18%162.38B
9.84%158.14B
6.83%148.37B
6.83%148.37B
110.49%156.43B
116.37%155.86B
105.75%143.97B
Total equity
15.46%3.8T
15.46%3.8T
18.60%3.66T
18.98%3.52T
20.31%3.45T
21.74%3.29T
21.74%3.29T
22.71%3.08T
23.67%2.96T
23.19%2.87T
Currency Unit
INR
INR
INR
INR
INR
INR
INR
INR
INR
INR
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Mar 31, 2026(Q4)Mar 31, 2026(Q3)Dec 31, 2025(Q2)Sep 30, 2025(Q1)Jun 30, 2025(FY)Mar 31, 2025(Q4)Mar 31, 2025(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024
Assets
Cash cash equivalents and federal funds sold 11.19%2.65T11.19%2.65T3.98%1.79T1.94%1.68T46.33%1.97T25.34%2.38T25.34%2.38T42.04%1.73T27.33%1.64T5.56%1.35T
-Cash and cash equivalents 11.19%2.65T11.19%2.65T3.98%1.79T1.94%1.68T46.33%1.97T25.34%2.38T25.34%2.38T42.04%1.73T27.33%1.64T5.56%1.35T
Receivables ---------------------1.07%701.77B-1.07%701.77B------------
-Accounts receivable --------------------14.30%238.38B14.30%238.38B------------
-Notes receivable ---------------------7.47%463.39B-7.47%463.39B------------
Prepaid assets --------------------21.53%10.73B21.53%10.73B------------
Net loan 19.67%16.45T19.67%16.45T11.10%15.52T9.71%14.92T10.94%14.46T13.52%13.74T13.52%13.74T13.67%13.97T15.05%13.6T15.84%13.03T
-Gross loan 19.67%16.45T19.67%16.45T11.10%15.52T9.71%14.92T10.94%14.46T13.52%13.74T13.52%13.74T13.67%13.97T15.05%13.6T15.84%13.03T
Securities and investments 20.45%8.71T20.45%8.71T6.09%9.01T2.86%9T5.61%9.06T9.39%7.23T9.39%7.23T12.53%8.49T22.30%8.75T23.83%8.58T
-Available for sale securities ----------------5.61%9.06T9.39%7.23T9.39%7.23T----------8.58T
Long term equity investment --------------------49.98%22.65B49.98%22.65B------------
Derivative assets ---------------------4.91%161.65B-4.91%161.65B------------
Net PPE 10.17%174.2B10.17%174.2B15.81%170.15B16.19%165.62B18.32%161.67B19.43%158.12B19.43%158.12B23.33%146.93B22.27%142.54B22.49%136.63B
-Gross PPE --------------------15.63%312.1B15.63%312.1B------------
-Accumulated depreciation ---------------------11.97%-153.98B-11.97%-153.98B------------
Goodwill and other intangible assets 24.71%105.5B24.71%105.5B260.35%104.87B190.68%84.59B190.68%84.59B241.91%84.59B241.91%84.59B2,771.98%29.1B2,771.98%29.1B2,771.98%29.1B
-Goodwill 24.71%105.5B24.71%105.5B260.35%104.87B190.68%84.59B190.68%84.59B241.91%84.59B241.91%84.59B2,771.98%29.1B2,771.98%29.1B2,771.98%29.1B
Other assets -43.30%1.06T-43.30%1.06T-1.74%930.4B1.78%1.02T0.25%957.11B-0.83%1.87T-0.83%1.87T4.64%946.9B15.63%1T14.16%954.72B
Total assets 10.30%29.14T10.30%29.14T8.77%27.53T6.75%26.86T10.85%26.69T11.77%26.42T11.77%26.42T14.65%25.31T18.43%25.17T18.02%24.07T
Liabilities
Total deposits 11.17%18.3T11.17%18.3T9.15%16.93T7.61%16.46T12.66%16.41T13.73%16.46T13.73%16.46T13.49%15.51T15.41%15.3T14.76%14.57T
Payables ---------------------6.84%751.12B-6.84%751.12B------------
-Accounts payable --------------------8.13%42.15B8.13%42.15B------------
-Other payable ---------------------7.60%708.97B-7.60%708.97B------------
Current debt and capital lease obligation --------------------30.79%226.22B30.79%226.22B------------
-Current debt --------------------30.79%226.22B30.79%226.22B------------
Long term provisions --------------------11.60%68.75B11.60%68.75B------------
Long term debt and capital lease obligation 21.67%2.2T21.67%2.2T-0.72%2.15T-2.06%2.15T4.42%2.15T-1.46%1.81T-1.46%1.81T7.98%2.17T15.84%2.2T12.60%2.06T
-Long term debt 21.67%2.2T21.67%2.2T-0.72%2.15T-2.06%2.15T4.42%2.15T-1.46%1.81T-1.46%1.81T7.98%2.17T15.84%2.2T12.60%2.06T
Derivative product liabilities --------------------5.27%185.82B5.27%185.82B------------
Other liabilities 33.44%4.85T33.44%4.85T5.34%4.79T0.43%4.74T2.05%4.67T6.44%3.63T6.44%3.63T16.98%4.55T27.18%4.72T29.06%4.58T
Total liabilities 9.57%25.35T9.57%25.35T7.41%23.88T5.13%23.35T9.57%23.23T10.48%23.13T10.48%23.13T13.61%22.23T17.77%22.21T17.35%21.2T
Shareholders'equity
Share capital 0.54%14.32B0.54%14.32B1.29%14.3B1.38%14.29B1.41%14.27B1.42%14.25B1.42%14.25B0.64%14.12B0.62%14.09B0.57%14.07B
-common stock 0.54%14.32B0.54%14.32B1.29%14.3B1.38%14.29B1.41%14.27B1.42%14.25B1.42%14.25B0.64%14.12B0.62%14.09B0.57%14.07B
Paid-in capital --------------------16.58%609.63B16.58%609.63B------------
Retained earnings --------------------31.79%1.18T31.79%1.18T------------
Gains losses not affecting retained earnings 173.87%3.59T173.87%3.59T19.12%3.45T19.77%3.32T20.85%3.26T17.85%1.31T17.85%1.31T20.02%2.89T20.76%2.77T20.57%2.7T
Other equity interest 29.58%26.82B29.58%26.82B38.70%24.99B40.37%23.17B41.32%21.43B47.29%20.7B47.29%20.7B45.00%18.02B53.13%16.51B65.51%15.16B
Total stockholders'equity 15.66%3.63T15.66%3.63T19.15%3.49T19.80%3.36T20.87%3.3T22.55%3.14T22.55%3.14T20.04%2.93T20.79%2.8T20.63%2.73T
Non controlling interests 11.28%165.11B11.28%165.11B8.24%169.31B4.18%162.38B9.84%158.14B6.83%148.37B6.83%148.37B110.49%156.43B116.37%155.86B105.75%143.97B
Total equity 15.46%3.8T15.46%3.8T18.60%3.66T18.98%3.52T20.31%3.45T21.74%3.29T21.74%3.29T22.71%3.08T23.67%2.96T23.19%2.87T
Currency Unit INRINRINRINRINRINRINRINRINRINR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------
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