HDFC Bank Ltd

NSE :HDFCBANK   BSE :500180  Sector : Banks
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52 WK low / high

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52 WK low / high

12 Jun
1574.15
(0.60%)
11 Jun
1564.80
(0.22%)
10 Jun
1561.30
(-0.77%)
07 Jun
1573.35
(0.88%)
06 Jun
1559.70
(0.51%)
05 Jun
1551.80
(4.63%)
04 Jun
1483.15
(-5.66%)
03 Jun
1572.20
(2.65%)
31 May
1531.55
(1.10%)
30 May
1514.85
(0.43%)
29 May
1508.30
(-1.45%)
28 May
1530.50
(0.18%)
27 May
1527.70
(0.69%)
24 May
1517.20
(1.65%)
23 May
1492.60
(2.29%)
22 May
1459.20
(0.03%)
21 May
1458.80
(-0.49%)
18 May
1466.05
(0.13%)
17 May
1464.10
(0.26%)
16 May
1460.25
(1.51%)
15 May
1438.50
(-1.54%)


Technical Analysis

Short Term Investors

Very Bullish

Medium Term Investors

Very Bullish

Long Term Investors

Neutral

Moving Averages

5 DMA
Bullish

1566.56


10 DMA
Bullish

1548.44


20 DMA
Bullish

1518.41


50 DMA
Bullish

1509.2


100 DMA
Bullish

1473.66


200 DMA
Bullish

1525.73



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Jun 12, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 1608.06 1598.18 1580.17 - -
R2 1598.18 1589.81 1578.17 1597.65 -
R1 1586.16 1584.65 1576.16 1585.1 1592.18
P 1576.28 1576.28 1576.28 1575.75 1579.29
S1 1564.26 1567.91 1572.14 1563.2 1570.28
S2 1554.38 1562.75 1570.14 1553.85 -
S3 1542.36 1554.38 1568.13 - -

Key Metrics

EPS

79.97

P/E

19.68

P/B

2.73

Dividend Yield

1.24%

Market Cap

11,97,010 Cr.

Face Value

1

Book Value

575.47

ROE

17.2%

EBITDA Growth

61,451.9 Cr.

Debt/Equity

0

Shareholding Pattern

  0% Total Promoter Holding
20.03% Mutual Fund Holdings
41.36% FIIs
16.06% Non Institution
7.01% Insurance Companies
13.54% Custodians
2% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


HDFC Bank Ltd Quaterly Results


Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024
INCOME 57158.84 61021.29 107566.62 115015.51 124391.35
PROFIT 12594.47 12370.38 16811.41 17257.87 17622.38
EPS 22.58 22.15 22.24 22.74 23.2

HDFC Bank Ltd Quaterly Results


Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024
INCOME 53850.54 57816.67 78406.23 81719.65 89639
PROFIT 12047.45 11951.77 15976.11 16372.54 16511.85
EPS 21.6 21.4 21.13 21.58 21.74

Profit & Loss (Figures in Rs. Crores)


HDFC Bank Ltd Profit & Loss


Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 50852.52 60212.17 74373.21 86176.43 101344.44 124107.79 147068.26 155885.28 167695.4 204666.1
PROFIT 8741.25 10681.56 12801.41 15254.07 18510.75 22311.92 27235.43 31800.06 38001.91 45927.26
EPS 18.27 21.35 25.35 29.88 35.76 41.21 49.78 57.79 68.8 82.71

HDFC Bank Ltd Profit & Loss


Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 49055.17 57466.25 70973.17 81602.46 95461.66 116597.93 138073.47 146063.12 157263.02 192800.37
PROFIT 8476.19 10208.55 12296.21 14549.64 17486.73 21078.17 26257.32 31116.53 36961.36 44108.7
EPS 17.09 19.57 24.32 28.39 33.69 38.7 47.89 56.44 66.65 79.05

Balance Sheet (Figures in Rs. Crores)

Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014
SOURCES OF FUNDS :
Capital 557.97554.55551.28548.33544.66519.02512.51505.64501.3479.81
Reserves Total 2,88,879.532,46,771.622,09,258.91,75,810.381,53,1281,09,080.1191,281.4473,798.4962,652.7743,686.82
Minority Interest860.26720.41632.76576.64501.79356.33291.44180.62161.63151.74
Deposits 18,82,663.2515,58,003.0313,33,720.8711,46,207.139,22,502.687,88,375.146,43,134.255,45,873.294,50,283.653,67,080.33
Borrowings 2,56,548.662,26,966.51,77,696.751,86,834.321,57,732.781,56,442.0898,415.641,03,713.9659,478.2549,596.72
Other Liabilities & Provisions 1,00,922.7789,918.1977,646.0770,853.6358,395.848,460.0958,827.438,234.8534,091.2842,683.57
TOTAL LIABILITIES25,30,432.4421,22,934.317,99,506.6315,80,830.4312,92,805.7111,03,232.778,92,462.687,62,306.856,07,168.885,03,678.99
APPLICATION OF FUNDS :
Cash & Balances with RBI1,17,189.281,30,030.7197,370.3572,21146,804.591,04,688.237,910.5530,076.5827,522.2925,357.22
Balances with Banks & money at Call79,958.5325,355.0223,902.1615,729.1135,013.0518,373.3511,400.578,992.39,004.1314,556.21
Investments 5,11,581.714,49,263.864,38,823.113,89,304.952,89,445.872,38,460.922,10,777.111,93,633.851,49,454.421,19,571.06
Advances 16,61,949.2914,20,942.2811,85,283.5210,43,670.888,69,222.667,00,033.845,85,480.994,87,290.423,83,407.973,15,418.86
Fixed Assets 8,431.356,432.075,248.354,775.654,368.634,008.133,999.73,666.863,224.943,026.28
Other Assets 1,51,322.2890,910.3648,879.1455,138.8547,950.937,668.3242,893.7638,646.8434,555.1125,749.35
TOTAL ASSETS25,30,432.4421,22,934.317,99,506.6315,80,830.4412,92,805.711,03,232.768,92,462.687,62,306.856,07,168.865,03,678.98
Contingent Liabilities17,50,953.8114,00,197.649,75,280.6611,30,474.0610,25,125.318,75,776.968,18,284.288,53,527.389,75,278.597,23,172.92
Bills for collection71,439.5456,968.0544,748.1451,584.949,952.842,753.8330,848.0423,49022,304.9320,943.06
Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014
SOURCES OF FUNDS :
Capital 557.97554.55551.28548.33544.66519.02512.51505.64501.3479.81
Reserves Total 2,79,641.032,39,538.382,03,169.551,70,437.71,48,661.691,05,775.9888,949.8472,172.1361,508.1242,998.82
Deposits 18,83,394.6515,59,217.4413,35,060.2211,47,502.299,23,140.937,88,770.646,43,639.665,46,424.194,50,795.643,67,337.48
Borrowings 2,06,765.571,84,817.211,35,487.321,44,628.541,17,085.121,23,104.9774,028.8784,968.9845,213.5639,438.99
Other Liabilities & Provisions 95,722.2584,407.4672,602.1567,394.455,108.2945,817.4556,830.836,818.9832,557.3941,402.97
Total Liabilities24,66,081.4720,68,535.0417,46,870.5215,30,511.2612,44,540.6910,63,988.068,63,961.687,40,889.925,90,576.014,91,658.07
APPLICATION OF FUNDS :
Cash & Balances with RBI1,17,160.771,29,995.6497,340.7372,205.1246,763.621,04,670.4737,896.8730,058.3127,510.4525,345.63
Balances with Banks & money at Call76,604.3122,331.2922,129.6614,413.634,584.0218,244.6111,055.228,860.538,82114,238.01
Investments 5,17,001.434,55,535.694,43,728.293,91,826.662,93,116.072,42,200.242,14,463.341,95,836.281,51,641.751,20,951.07
Advances 16,00,585.913,68,820.9311,32,836.639,93,702.888,19,401.226,58,333.095,54,568.24,64,593.963,65,495.033,03,000.27
Fixed Assets 8,016.546,083.674,909.324,431.924,0303,607.23,626.743,343.163,121.732,939.92
Other Assets 1,46,712.5285,767.8345,925.8953,931.0946,645.7636,932.4342,351.338,197.6933,986.0325,183.17
Total Assets24,66,081.4720,68,535.0517,46,870.5215,30,511.2712,44,540.6910,63,988.048,63,961.677,40,889.935,90,575.994,91,658.07
Contingent Liabilities17,48,130.3213,95,442.39,71,097.611,28,953.4110,24,715.128,75,488.228,17,869.588,53,318.119,75,233.957,23,154.92
Bills for collection71,439.5456,968.0544,748.1451,584.949,952.842,753.8330,848.0423,49022,304.9320,943.06

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...61,346.8
Depreciation2,345.47
P/L on Sales of Assets-8.05
P/L on Sales of Invest545.82
Prov. and W/O (Net)15,492.34
Others198.96
Total Adjustments (PBT and Ext...18,375.58
Operating Profit before Workin...79,722.38
Loans and Advances-2,54,569.45
Investments-64,182.03
Change in Deposits3,24,660.22
Total Adjustments (OP before W...-42,541.19
Cash Generated from/(used in) ...37,181.19
Direct Taxes Paid-16,367.49
Total Adjustments(Cash Generat...-16,367.49
Cash Flow before Extraordinary...20,813.7
Net Cash from Operating Activi...20,813.7
Purchased of Fixed Assets-3,466.57
Sale of Fixed Assets42.68
Net Cash used in Investing Act...-2,992.18
Proceeds from Issue of shares ...3,415.83
Proceed from Issue of Debentur...23,000
Proceed from 0ther Long Term B...18,007.29
On Redemption of Debenture-12,077
Dividend Paid-8,604.52
Net Cash used in Financing Act...23,940.56
Net Profit before Tax and Extr...58,485.3
Depreciation2,242.48
Dividend Received810.98
P/L on Sales of Assets-8.29
P/L on Sales of Invest545.82
Prov. and W/O (Net)13,519.75
Total Adjustments (PBT and Ext...15,488.79
Operating Profit before Workin...73,974.09
Loans and Advances-2,43,552.64
Investments-63,330.89
Change in Deposits3,24,177.21
Total Adjustments (OP before W...-31,184.95
Cash Generated from/(used in) ...42,789.14
Direct Taxes Paid-15,475.73
Total Adjustments(Cash Generat...-15,475.73
Cash Flow before Extraordinary...27,313.41
Net Cash from Operating Activi...27,313.41
Purchased of Fixed Assets-3,280.47
Sale of Fixed Assets40.61
Net Cash used in Investing Act...-1,997.17
Proceeds from Issue of shares ...3,415.83
Proceed from Issue of Debentur...23,000
Proceed from 0ther Long Term B...9,787.61
On Redemption of Debenture-11,477
Dividend Paid-8,604.52
Net Cash used in Financing Act...16,121.92

Company Details

Registered Office
AddressHDFC Bank House,
Senapati BapatMarg Lower Parel
CityMumbai
StateMaharashtra
Pin Code400013
Tel. No.91-22-66521000/3976 0000
Fax. No.91-22-24960737
Emailshareholder.grievances@hdfcbank.com
Internethttp://www.hdfcbank.com
Registrars
AddressHDFC Bank House
CityMumbai
StateMaharashtra
Pin Code400013
Tel. No.91-22-66521000/3976 0000
Fax. No.91-22-24960737
Emailshareholder.grievances@hdfcbank.com
Internethttp://www.hdfcbank.com
Management
Name Designation
Kaizad BharuchaDeputy Managing Director
Umesh Chandra SarangiIndependent Director
SANDEEP PAREKHIndependent Director
M D RanganathIndependent Director
Sanjiv SacharIndependent Director
Santosh HaldankarSenior Vice President & CS
Renu S KarnadDirector
Sashidhar JagdishanManaging Director & CEO
Sunita MaheshwariIndependent Director
Atanu ChakrabortyPart Time Chairman
Lily VaderaIndependent Director
Bhavesh ZaveriExecutive Director
K M MistryDirector
V Srinivasa RanganWhole Time Director