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SBI Q4 FY26: Profit before tax at ₹1.14 lakh crore

May 8, 2026 3 mins read Firehose Gupta

State Bank of India (SBI) — Quarter and year ended 31.03.2026 (Audited)

S. No Particulars Standalone Quarter Ended Standalone Year Ended Consolidated Quarter Ended Consolidated Year Ended
31.03.2026 (Audited) 31.12.2025 (Unaudited) 31.03.2025 (Audited) 31.03.2026 (Audited)
1 Interest earned (a)+(b)+(c)+(d) 1,23,097.67 1,22,352.35 1,19,509.39 4,82,797.17
(a) Interest/discount on advances/bills 89,369.91 89,013.95 85,709.69 3,50,004.36
(b) Income on investments 28,579.05 28,427.51 29,456.17 1,13,034.49
(c) Interest on balances with Reserve Bank of India and other Inter-bank funds 1,265.52 1,279.75 1,129.09 6,086.38
(d) Others 3,883.19 3,631.14 3,214.44 13,671.94
2 Other income 17,314.10 18,562.30 24,366.67 68,850.28
3 TOTAL INCOME (1)+(2) 1,40,411.77 1,40,914.65 1,43,876.06 5,51,647.45
4 Interest expended 78,717.67 77,365.76 76,891.55 3,09,676.69
5 Operating expenses (a)+(b)+(c) 33,989.92 30,686.50 35,698.47 1,23,548.80
(a) Employee cost 16,215.25 16,003.06 18,005.20 65,723.78
(b) Operating expenses relating to Insurance Business
(c) Other operating expenses 17,774.67 14,683.44 17,693.27 57,825.02
6 TOTAL EXPENDITURE (excluding provisions and contingencies) (4)+(5) 1,12,707.59 1,08,052.26 1,12,590.02 4,33,225.49
7 OPERATING PROFIT (before provisions and contingencies) (3)-(6) 27,704.18 32,862.39 31,286.04 1,18,421.96
8 Provisions (other than tax) and contingencies (net of write back) 2,872.16 4,506.92 6,441.69 17,538.40
— of which provisions for non-performing assets 3,140.46 3,215.66 3,964.23 15,422.50
9 Exceptional items
10 PROFIT/(LOSS) FROM ORDINARY ACTIVITIES BEFORE TAX (7)-(8)+(9) 24,832.02 28,355.47 24,844.35 1,05,476.78
S. No Particulars Standalone 31.03.2026 (Audited) Standalone 31.12.2025 (Unaudited) Standalone 31.03.2025 (Audited) Consolidated 31.03.2026 (Audited) Consolidated 31.12.2025 (Unaudited) Consolidated 31.03.2025 (Audited)
1 Capital and Liabilities
a Capital 923.06 923.06 892.46 923.06 923.06 892.46
b Reserves & surplus 5,43,519.22 5,39,097.16 4,40,269.66 5,95,207.81 5,91,092.84 4,86,144.30
c Minority interest 18,768.28 19,206.89 18,025.84
d Deposits 59,75,642.12 57,01,308.86 53,82,189.53 60,43,097.12 57,67,170.77 54,39,898.02
e Borrowings 7,31,253.80 6,35,706.86 5,63,572.52 7,77,302.15 6,85,387.62 6,10,857.24
f Other liabilities and provisions 3,71,673.81 2,84,938.86 2,89,129.10 8,86,270.15 8,17,288.59 7,58,367.48
Total 76,23,012.01 71,61,974.80 66,76,053.27 83,21,568.57 78,81,069.77 73,14,185.34
2 Assets
a Cash and balances with Reserve Bank of India 2,68,445.30 1,85,768.05 2,27,217.50 2,68,681.74 1,86,103.86 2,27,485.16
b Balances with banks and money at call and short notice 1,16,114.53 1,09,156.63 1,13,012.19 1,33,161.47 1,27,289.12 1,30,447.78
c Investments 18,01,254.08 17,33,778.97 16,90,572.75 23,59,502.17 23,17,880.93 22,05,601.11
d Advances 48,77,894.83 46,27,734.06 41,63,312.10 49,78,013.21 47,23,323.85 42,50,830.74
e Fixed assets 54,790.35 53,423.07 44,107.55 57,152.10 55,737.40 46,337.69
f Other assets 5,04,512.92 4,52,114.02 4,37,831.18 5,25,057.88 4,70,734.61 4,53,482.86
Total 76,23,012.01 71,61,974.80 66,76,053.27 83,21,568.57 78,81,069.77 73,14,185.34
PARTICULARS Standalone 31.03.2026 (Audited) Standalone 31.03.2025 (Audited) Consolidated 31.03.2026 (Audited) Consolidated 31.03.2025 (Audited)
CASH FLOW FROM OPERATING ACTIVITIES
Net Profit/(Loss) before taxes (including share in profit from associates and net of minority interest) 1,05,476.78 95,271.27 1,12,158.29 1,04,909.48
Adjustments for : Depreciation on Fixed Assets 4,270.20 3,528.91 4,829.72 3,991.48
(Profit)/Loss on sale of Fixed Assets (Net) -3.35 20.37 7.32 16.23
(Profit)/Loss on revaluation of Investments (Net) 2,932.11 -5,453.16 3,820.16 -5,179.38
(Profit) /Loss on sale of Investments in Subsidiaries/Joint Ventures/Associates -4,618.68 -111.80 -2,384.41 7.52
Provision on Non Performing Assets 15,422.50 14,418.33 19,350.08 18,505.51
Provision on Standard Assets 1,607.69 302.76 1,682.96 338.09
Provision on non-performing Investments -14.33 514.28 -14.33 482.88
Other provisions including provision for contingencies 522.54 72.53 532.54 134.68
Income from Investment in Subsidiaries/Joint Ventures / Associates -4,986.20 -1,938.93
Share in Profit of Associates -1,497.20 -1,505.47
Income from Investment in Associates -0.70 -8.81
Interest charged on Capital Instruments 7,108.04 7,318.42 7,397.27 7,568.89
1,27,717.30 1,13,942.98 1,45,881.70 1,29,261.10
Adjustments for : Increase/(Decrease) in Deposits 5,93,452.59 4,66,112.76 6,03,199.11 4,73,360.53
Adjustments for : Increase/(Decrease) in Borrowings other than Capital Instruments 1,73,830.28 -40,026.98 1,72,378.40 -35,148.36
(Increase)/Decrease in Investments other than Investment in Subsidiaries / Joint Ventures / Associates -1,20,372.53 -8,609.27 -1,62,060.62
Description 31.03.2026 31.03.2025 31.03.2026 31.03.2025
Purchase of Investments in Subsidiaries / Joint Ventures / Associates -1,747.36 0.00 -108.27 0.00
Proceeds from sale of Investments in Subsidiaries/ Joint Ventures/ Associates 10,892.77 1,122.80 7,779.42 -6.52
Income received from Investment in Subsidiaries / Joint Ventures / Associates 5,012.30 1,977.29
Income received from Investment in Associates 0.93 9.00
(Increase) /Decrease in Fixed Assets -7,440.69 -5,112.34 -8,362.96 -5,637.22
NET CASH GENERATED FROM / (USED IN) INVESTING ACTIVITIES (B) 6,717.02 -2,012.25 -690.88 -5,634.74
Description 31.03.2026 31.03.2025 31.03.2026 31.03.2025
Proceeds from issue of equity shares including share premium net of share issue expenses* 24,994.53 0.13 24,994.53 0.13
Issue of Capital Instruments 13,551.00 20,000.00 13,738.50 21,500.00
Redemption of Capital Instruments -19,700.00 -13,961.40 -19,672.00 -15,103.90
Interest paid on Capital Instruments -7,457.87 -7,136.34 -7,721.71 -7,268.61
Dividend paid -14,190.15 -12,226.72 -14,190.15 -12,226.72
Dividend tax paid by Subsidiaries/Joint Ventures -41.00 -31.85
Increase/(Decrease) in Minority Interest -535.31 2,394.16
NET CASH GENERATED FROM / (USED IN) FINANCING ACTIVITIES (C) -2,802.49 -13,324.33 -3,427.