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IND AS · INR crore
| Metric | 2026 | 2025 | 2024 |
|---|---|---|---|
| Net Loans | 5,65,257.58 | 4,86,164.65 | 4,28,986.56 |
| Total Liabilities Shareholders' Equity | 10,03,352.79 | 8,79,774.34 | 7,67,666.96 |
| Accumulated Depreciation Total | -5,793.32 | -4,940.02 | -4,200.88 |
| Other Liabilities Total | 1,48,546.1 | 1,19,671.35 | 1,09,558.28 |
| Long Term Debt | 95,393.53 | 97,622.03 | 75,105.61 |
| Common Stock Total | 994.65 | 994.11 | 993.96 |
| Other Equity Total | 974.18 | 613.77 | 544.02 |
| Total Assets | 10,03,352.79 | 8,79,774.34 | 7,67,666.96 |
| Additional Paid-In Capital | 25,816.14 | 25,584.9 | 25,532.96 |
| Total Equity | 1,81,225.87 | 1,57,489.35 | 1,29,971.69 |
| Long Term Investments | 1,113.94 | 2,474.14 | 1,689.47 |
| Retained Earnings(Accumulated Deficit) | 1,41,113.92 | 1,21,932.06 | 98,569.07 |
| Total Common Shares Outstanding | 994.65 | 994.11 | 993.96 |
| Total Short Term Borrowings | 4,389.51 | 3,639.6 | 3,605.13 |
| Property/Plant/Equipment Total-Gross | 8,127.54 | 7,407.9 | 6,401.58 |
| Tangible Book Valueper Share Common Eq | 180.73 | 157.12 | 129.44 |
| Other Earning Assets Total | 3,09,932.18 | 2,89,664.14 | 2,57,809.68 |
| Goodwill Net | 947.76 | 947.76 | 947.76 |
| Total Liabilities | 8,22,126.92 | 7,22,284.99 | 6,37,695.27 |
| Total Debt | 99,783.04 | 1,01,261.63 | 78,710.74 |
| Deferred Income Tax | 2,076.97 | 1,195.64 | 246.6 |
| Property/Plant/Equipment Total-Net | 2,334.22 | 2,467.88 | 2,200.71 |
| Cash Duefrom Banks | 67,827.51 | 61,733.49 | 44,057.17 |
| Accounts Payable | 2,488.88 | 3,665.09 | 3,032.48 |
| Other Currentliabilities Total | 2,291.6 | 1,783.8 | 878.41 |
| Total Long Term Debt | 95,393.53 | 97,622.03 | 75,105.61 |
| Other Assets Total | 53,881.42 | 34,743.99 | 30,735.2 |
| Intangibles Net | 518.58 | 342.92 | 361.8 |
| Other Long Term Assets Total | 1,539.6 | 1,235.38 | 878.61 |
| Unrealized Gain(Loss) | 12,326.99 | 8,364.51 | 4,331.68 |
| Total Deposits | 5,66,940.33 | 4,94,707.48 | 4,45,268.76 |
| Preferred Stock-Non Redeemable Net | Not available | Not available | 0 |
| Total Preferred Shares Outstanding | Not available | Not available | 0 |
PEG Ratio2.21
Price to Sale Ratio5.62
Debt 5Yr CAGR %14.76
Operating Margin 12m33.67
Operating Margin 5y Avg34.69
Net Profit Margin 12m24.83
Net Profit Margin 5y26.01
Dividend Yield %0.16
Overall RiskModerate risk
Board Risk23.96
ConsensusBuy
Consensus score1.95
Analyst opinions38
Strong Sell count1
Sell count1
Hold count7
Buy count15
Strong Buy count14
Provider consensus uses a 1 (Strong Buy) to 5 (Strong Sell) score. The payload does not include price targets, so none are inferred from 52-week prices or recommendation percentages.Only peers present in the company profile payload are displayed.
| Company | Price | Market cap | P/E | Research |
|---|---|---|---|---|
| HDFC Bank | INR 737 | 11.36 L | 16.52 | — |
| ICICI Bank | INR 1,476.95 | 10.60 L | 19.32 | — |
| State Bank of India | INR 1,084.85 | 10.01 L | 11.78 | — |
| Union Bank of India | INR 181.9 | 1.39 L | 6.59 | — |
| Bank of Baroda | INR 250 | 1.29 L | 6.41 | — |
Source, timestamp and external destination are shown. Provider relevance scores are not available.
Loan losses (actual) of Kotak Mahindra Bank Limited – NSE:KOTAKBANK TradingView
Kotak Mahindra Bank , underperforms competitors MarketWatch
Kotak Alts closes $1bn real estate fund as ADIA, NPS Korea place fresh bets Business Standard
Kotak Mahindra Mutual Fund has announced change in minimum redemption amount in some schemes Value Research
Kotak Mahindra Bank rallies Wednesday, outperforms market MarketWatch
Buy Kotak Mahindra Bank; target of Rs 480: ICICI Securities Moneycontrol.com
Posts are linked to the canonical company record. Community BUY, NEUTRAL and SELL opinions are user-generated, moderated and separate from analyst consensus and ShareKeyX AI.
Kotak Mahindra Bank Limited is an India-based diversified financial services company. The Company's segments include Corporate/Wholesale Banking; Retail Banking; Treasury, Balance Sheet Management Unit (BMU) and Corporate Centre; Vehicle Financing; Other Lending Activities; Broking; Advisory and Transactional Services; Asset Management, and Insurance. Corporate/Wholesale Banking segment includes wholesale borrowings and lending and other related services to the corporate sector. Retail Banking segment comprises of digital banking and other retail banking. Vehicle Financing segment includes retail vehicle financing and wholesale trade financing to auto dealers. Other Lending Activities segment includes securitization and other loans/services. Advisory and Transactional Services segment provides financial advisory and transactional services such as mergers and acquisition advice, equity/debt issue management services and business correspondent services.
Kotak Mahindra Bank has the symbol KOTAKBANK and ISIN - INE237A01036.
Kotak Mahindra Bank is currently trading at INR 397.35.
Kotak Mahindra Bank has a year high of INR 453.20 and a year low of INR 345.50.
Kotak Mahindra Bank has a market capitalization of INR 3.92 lakh crore.
Kotak Mahindra Bank has a P/E ratio of 19.22.
Kotak Mahindra Bank has a dividend yield of 0.16%.
Kotak Mahindra Bank has revenue of INR 69,781.21 crore, net income of INR 19,180.63 crore, and EPS of INR 20.41.
Kotak Mahindra Bank has a book value of NA.
Kotak Mahindra Bank has a debt-to-equity ratio of NA.
Kotak Mahindra Bank has a price-to-book ratio of NA and a price-to-sales ratio of 5.62.
Corporate-action adjustment is provider-defined. ShareKeyX research and computed indicators are not investment advice.