Kotak Mahindra Bank Ltd

NSE :KOTAKBANK   BSE :500247  Sector : Banks
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17 Sep
1846.65
(0.84%)
16 Sep
1831.30
(0.60%)
13 Sep
1820.35
(-0.39%)
12 Sep
1827.45
(2.13%)
11 Sep
1789.25
(-0.13%)
10 Sep
1791.60
(0.08%)
09 Sep
1790.15
(1.47%)
06 Sep
1764.15
(-0.78%)
05 Sep
1777.95
(-0.33%)
04 Sep
1783.80
(0.00%)
03 Sep
1783.80
(0.20%)
02 Sep
1780.25
(-0.03%)
30 Aug
1780.80
(0.20%)
29 Aug
1777.25
(-0.78%)
28 Aug
1791.30
(-0.67%)
27 Aug
1803.35
(-0.50%)
26 Aug
1812.50
(-0.30%)
23 Aug
1818.00
(-0.19%)
22 Aug
1821.50
(0.47%)
21 Aug
1812.95
(0.40%)
20 Aug
1805.65
(1.36%)


Technical Analysis

Short Term Investors

Very Bullish

Medium Term Investors

Very Bullish

Long Term Investors

Very Bullish

Moving Averages

5 DMA
Bullish

1823.02


10 DMA
Bullish

1802.28


20 DMA
Bullish

1800.29


50 DMA
Bullish

1797.25


100 DMA
Bullish

1752.34


200 DMA
Bullish

1771.42



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Sep 17, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 1879.24 1866.32 1852.91 - -
R2 1866.32 1857.63 1850.82 1867.09 -
R1 1856.49 1852.26 1848.74 1858.03 1861.4
P 1843.57 1843.57 1843.57 1844.34 1846.03
S1 1833.74 1834.88 1844.56 1835.28 1838.65
S2 1820.82 1829.51 1842.48 1821.59 -
S3 1810.99 1820.82 1840.39 - -

Key Metrics

EPS

69.89

P/E

26.22

P/B

3.77

Dividend Yield

0.11%

Market Cap

3,64,084 Cr.

Face Value

5

Book Value

489.72

ROE

14.84%

EBITDA Growth

16,615.24 Cr.

Debt/Equity

3.87

Shareholding Pattern

  25.89% Total Promoter Holding
16.52% Mutual Fund Holdings
31.51% FIIs
13.22% Non Institution
9.47% Insurance Companies
0% Custodians
3.39% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Kotak Mahindra Bank Ltd Quaterly Results


Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
INCOME 20723.91 21559.52 24083.15 27907.33 28879.27
PROFIT 4150.19 4461.04 4264.78 5337.2 4579.66
EPS 20.89 22.45 21.46 26.66 37.47

Kotak Mahindra Bank Ltd Quaterly Results


Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
INCOME 13183.26 13507.36 14096.04 15285.35 19195.05
PROFIT 3452.3 3190.97 3005.01 4133.3 3565.58
EPS 17.38 16.06 15.12 20.6 31.44

Profit & Loss (Figures in Rs. Crores)


Kotak Mahindra Bank Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 21471.09 28032.37 33983.77 38813.31 45979.11 50365.74 56407.51 58681.68 68142.03 94273.91
PROFIT 3035.29 3455.73 4931.34 6169.42 7189.6 8571.56 9961.94 12069.62 14916.9 18207.83
EPS 19.75 18.7 26.88 32.26 37.3 44.99 49.76 59.92 74.2 90.24

Kotak Mahindra Bank Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 11748.32 18996.41 21176.09 23800.71 28547.23 32301.72 31846.78 33024.74 41333.9 56072.01
PROFIT 1857.08 2087.77 3403.53 4054.26 4852.5 5926.62 6942.83 8555.01 10933.59 13779.27
EPS 11.99 11.29 18.53 21.43 25.49 31.09 34.94 42.99 54.86 69.13

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Capital 993.961,493.281,492.331,490.921,456.521,454.38952.82920.45917.19386.18
Reserves Total 1,28,898.441,10,760.8195,641.783,345.5365,677.656,825.3549,533.2437,570.3932,443.4521,767.14
Equity Application Money79.2960.3131.312.162.872.072.171.873.413
Minority Interest0000000474.43395.6335.69
Deposits 4,45,268.763,61,272.623,10,086.892,78,871.412,60,400.212,24,824.261,91,235.81,55,5401,35,948.7672,843.46
Borrowings 75,105.6157,033.9255,159.8747,738.965,576.7266,438.9458,603.9749,689.9143,729.7931,414.88
Other Liabilities & Provisions 44,191.932,044.8133,636.5225,523.3418,714.218,414.1614,967.1313,197.6412,217.098,032.81
Policy Holders Fund73,375.657,979.4750,666.7942,071.5231,508.8227,417.8122,425.3418,792.8815,148.2813,792.61
TOTAL LIABILITIES7,67,913.566,20,645.225,46,715.414,79,043.784,43,336.943,95,376.973,37,720.472,76,187.572,40,803.571,48,575.77
APPLICATION OF FUNDS :
Cash & Balances with RBI36,286.7419,985.2136,049.1812,5289,513.2410,910.928,933.57,512.226,924.93,945.12
Balances with Banks & money at Call28,919.6522,940.1416,616.3135,188.6254,566.6120,353.5415,467.1318,076.324,674.512,958.33
Investments 2,46,445.721,95,337.971,64,529.411,56,945.551,11,196.911,03,487.0290,976.668,461.5470,273.945,588.89
Advances 4,30,351.583,59,107.463,04,473.62,52,169.752,49,878.962,43,461.992,05,997.321,67,124.911,44,792.8288,632.21
Fixed Assets 3,510.263,074.962,723.382,553.922,674.722,697.462,542.891,758.621,761.021,384.97
Other Assets 22,399.620,199.4922,323.5419,657.9315,506.4914,466.0413,803.0313,253.9412,376.446,066.25
TOTAL ASSETS7,67,913.556,20,645.235,46,715.424,79,043.774,43,336.933,95,376.973,37,720.472,76,187.552,40,803.591,48,575.77
Contingent Liabilities7,30,071.544,63,403.262,73,155.362,00,436.241,88,226.872,16,019.132,09,231.861,95,603.442,44,491.0865,932.22
Bills for collection47,467.7144,655.2438,709.2841,272.839,518.9831,852.2324,255.3120,318.2614,964.054,419.99
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Capital 993.961,493.281,492.331,490.921,456.521,454.38952.82920.45917.19386.18
Reserves Total 95,645.581,966.6770,964.1462,236.0547,558.7841,44436,528.8326,695.6223,041.8713,754.91
Equity Application Money79.2960.3131.312.162.872.072.171.873.413
Deposits 4,48,953.753,63,096.053,11,684.112,80,100.052,62,820.522,25,880.361,92,643.271,57,425.861,38,643.0275,759.56
Borrowings 28,368.123,416.2725,967.1223,650.6537,993.3132,248.2925,154.1521,095.4820,975.3411,250.46
Other Liabilities & Provisions 26,560.4720,042.4719,476.7816,153.8210,555.4811,303.579,795.438,596.628,804.934,921.95
Total Liabilities6,00,601.074,90,075.054,29,615.793,83,633.653,60,387.483,12,332.672,65,076.672,14,735.91,92,385.761,06,076.06
APPLICATION OF FUNDS :
Cash & Balances with RBI36,252.0419,965.5636,026.2312,493.619,505.0510,877.538,908.57,492.426,903.433,928.3
Balances with Banks & money at Call16,536.3612,576.756,897.7227,132.9243,787.2513,798.0210,711.615,079.583,976.282,334.06
Investments 1,55,403.761,21,403.731,00,580.221,05,099.1975,051.5571,189.0964,562.3545,074.1951,260.2228,659.11
Advances 3,76,075.273,19,861.212,71,253.62,23,670.162,19,748.192,05,694.811,69,717.921,36,082.131,18,665.366,160.71
Fixed Assets 2,155.31,920.321,643.721,535.271,623.131,651.551,527.161,537.631,551.591,206.71
Other Assets 14,178.3414,347.4713,214.3113,702.4910,672.329,121.79,649.149,469.9410,028.943,787.17
Total Assets6,00,601.074,90,075.044,29,615.83,83,633.643,60,387.493,12,332.72,65,076.672,14,735.891,92,385.761,06,076.06
Contingent Liabilities7,16,408.874,54,073.652,66,316.971,92,995.541,87,177.352,11,945.942,04,936.051,92,958.642,42,522.2863,602.29
Bills for collection47,467.7144,655.2438,709.2841,272.839,518.9831,852.2324,255.3120,318.2614,964.054,419.99

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...23,863.38
Depreciation791.75
P/L on Sales of Assets-7.14
P/L on Sales of Invest-7,417.34
Prov. and W/O (Net)2,288.82
Others-500
Total Adjustments (PBT and Ext...-4,343.9
Operating Profit before Workin...19,519.48
Loans and Advances-70,818.64
Investments-36,326.75
Change in Deposits83,996.14
Total Adjustments (OP before W...2,203.11
Cash Generated from/(used in) ...21,722.59
Direct Taxes Paid-6,037.59
Total Adjustments(Cash Generat...-6,037.59
Cash Flow before Extraordinary...15,685
Net Cash from Operating Activi...15,685
Purchased of Fixed Assets-1,126.69
Sale of Fixed Assets34.61
Purchase of Investments-7,472.91
Acquisition of Companies-531.94
Net Cash used in Investing Act...-8,919.06
Proceeds from Issue of shares ...199.23
Proceed from 0ther Long Term B...16,152.49
Dividend Paid-336.62
Net Cash used in Financing Act...15,515.11
Net Profit before Tax and Extr...18,013.72
Depreciation614.79
Dividend Received308.9
P/L on Sales of Assets-3.03
P/L on Sales of Invest-1,481.78
Prov. and W/O (Net)1,960.5
Others-500
Total Adjustments (PBT and Ext...781.59
Operating Profit before Workin...18,795.31
Loans and Advances-57,700.53
Investments-35,495.27
Change in Deposits85,857.69
Total Adjustments (OP before W...-279.37
Cash Generated from/(used in) ...18,515.94
Direct Taxes Paid-4,615.15
Total Adjustments(Cash Generat...-4,615.15
Cash Flow before Extraordinary...13,900.79
Net Cash from Operating Activi...13,900.79
Purchased of Fixed Assets-884.73
Sale of Fixed Assets27.73
Sale of Investments3,302.72
Investment in Group Cos.-733.12
Net Cash used in Investing Act...2,030.87
Proceeds from Issue of shares ...199.23
Proceed from 0ther Long Term B...4,951.83
Dividend Paid-336.62
Net Cash used in Financing Act...4,314.44

Company Details

Registered Office
Address27 BKC C-27 G-Block,
Bandra Kurla Complex Bandra(E)
CityMumbai
StateMaharashtra
Pin Code400051
Tel. No.91-22-61660001
Fax. No.91-22-67132403
Emailinvestor.grievances@kotak.com
Internethttp://www.kotak.com
Registrars
Address27 BKC C-27 G-Block
CityMumbai
StateMaharashtra
Pin Code400051
Tel. No.91-22-61660001
Fax. No.91-22-67132403
Emailinvestor.grievances@kotak.com
Internethttp://www.kotak.com
Management
Name Designation
Uday KotakNon Executive Director
Uday ShankarIndependent Director
Avan DoomasiaCompany Sec. & Compli. Officer
Ashok GulatiIndependent Director
Amit DesaiNon Executive Director
Ashu SuyashIndependent Director
SHANTI EKAMBARAMDeputy Managing Director
Chandra Shekhar RajanPart Time Chairman
Ashok VaswaniManaging Director & CEO
Eli LeenaarsIndependent Director
Ketaki BhagwatiIndependent Director
Jaideep HansrajWTD & Additional Director