Canara Bank

129.960.28%

2026-08-21

Market Cap₹ 1,17,057 Cr.
Current Price₹ 130
High / Low₹ 163 / 104
Stock P/E0.0
Book Value₹ 124
Price to Book1.05
Dividend Yield3.25 %
ROCE14.0 %
ROE19.1 %
Face Value₹ 2

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ABOUT

KEY POINTS

Revenue Breakup Mar 2026 • Retail Banking Operations: 45.0% • Wholesale Banking Operations: 33.0% • Treasury Operations: 22.0%

PROS

  • Company has delivered good profit growth of 49.6% CAGR over last 5 years
  • Comfortable capital adequacy - CAR of 17.0%
  • Asset quality is healthy - gross NPA of just 1.8%
  • Strong provisioning - provision coverage ratio of 94.8%
  • Healthy loan book growth of 16.3% with stable asset quality

CONS

  • A large part of profit comes from other income (107.8% of PBT)
  • Operating margins have contracted to 26.1% from 32.8%
  • Thin net interest margin of 2.0%
  • Growth is decelerating - 3Y profit CAGR (21.9%) trails the 5Y trend (49.6%)

* The pros and cons are machine generated based on quantitative rules.

Peer comparison

EDIT COLUMNS
S.No.NameCMP Rs.P/EMar Cap Rs.Cr.Div Yld %NP Qtr Rs.Cr.Qtr Profit Var %Sales Qtr Rs.Cr.Qtr Sales Var %ROCE %OPM %
1.SBIN1047.3511.21966768.731.6624579.0413.65136240.498.3612.1652.34
2.UNIONBANK184.506.82140840.022.715368.1729.7727427.101.2114.5769.42
3.PNB117.806.13135386.872.555339.15191.4033589.173.1213.2675.40
4.BANKBARODA244.056.95126207.093.481572.59-53.0835114.526.8411.2033.10
5.INDIANB873.009.20117589.962.093299.4848.7318095.1411.1116.2867.14
6.CANBK129.055.89117056.753.254864.0861.9632957.164.5514.4668.47
7.BANKINDIA142.155.4964716.173.273138.4677.9220096.908.8310.9773.18
8.IOB33.1510.7163835.600.001659.2449.258777.5718.8211.3154.56
9.MAHABANK80.278.1961740.112.7420205.401168.3280346.501039.0216.5368.61
10.UCOBANK25.8113.1132364.601.70652.4324.096744.5915.1011.0054.71
11.CENTRALBK31.056.1628104.603.861328.955.439725.9012.798.2767.83
12.PSB23.380.0016589.481.67331.5123.163213.3710.409.0771.38
Detailed Comparison with:

Quarterly Results

Standalone Figures in Rs. Crores / View Consolidated

Jun 2023
25,004
Interest Expended
16,338
Net Interest Income
8,666
4,819
Total Income
0
Operating Expenses
5,881
Operating Profit
7,604
Provisions & Contingencies
2,719
Profit before Tax
4,885
Tax %
27.64%
Net Profit
3,535
EPS
19
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
0.00%
Return on Assets %
0.00%
Branches / ATMs / Employees
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
0.00%
Return on Assets %
0.00%
Branches / ATMs / Employees
Sep 2023
26,838
Interest Expended
17,935
Net Interest Income
8,903
4,634
Total Income
0
Operating Expenses
5,922
Operating Profit
7,616
Provisions & Contingencies
2,608
Profit before Tax
5,008
Tax %
27.99%
Net Profit
3,606
EPS
20
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
0.00%
Return on Assets %
0.00%
Branches / ATMs / Employees
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
0.00%
Return on Assets %
0.00%
Branches / ATMs / Employees
Dec 2023
28,039
Interest Expended
18,622
Net Interest Income
9,417
4,295
Total Income
0
Operating Expenses
6,907
Operating Profit
6,806
Provisions & Contingencies
1,899
Profit before Tax
4,907
Tax %
25.49%
Net Profit
3,656
EPS
20
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
0.00%
Return on Assets %
0.00%
Branches / ATMs / Employees
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
0.00%
Return on Assets %
0.00%
Branches / ATMs / Employees
Mar 2024
28,807
Interest Expended
19,227
Net Interest Income
9,580
5,218
Total Income
0
Operating Expenses
7,411
Operating Profit
7,387
Provisions & Contingencies
2,482
Profit before Tax
4,906
Tax %
23.41%
Net Profit
3,757
EPS
21
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
0.00%
Return on Assets %
0.00%
Branches / ATMs / Employees
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
0.00%
Return on Assets %
0.00%
Branches / ATMs / Employees
Jun 2024
28,701
Interest Expended
19,535
Net Interest Income
9,166
5,319
Total Income
36,966
Operating Expenses
6,869
Operating Profit
7,616
Provisions & Contingencies
2,282
Profit before Tax
5,334
Tax %
26.78%
Net Profit
3,905
EPS
4
Gross NPA %
4.14%
Net NPA %
1.24%
Provision Coverage %
89.22%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.44%
Return on Assets %
1.06%
Branches / ATMs / Employees
Gross NPA %
4.14%
Net NPA %
1.24%
Provision Coverage %
89.22%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.44%
Return on Assets %
1.06%
Branches / ATMs / Employees
Sep 2024
29,740
Interest Expended
20,425
Net Interest Income
9,315
4,981
Total Income
38,006
Operating Expenses
6,642
Operating Profit
7,654
Provisions & Contingencies
2,251
Profit before Tax
5,403
Tax %
25.69%
Net Profit
4,015
EPS
4
Gross NPA %
3.73%
Net NPA %
0.99%
Provision Coverage %
90.89%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.62%
Return on Assets %
1.05%
Branches / ATMs / Employees
Gross NPA %
3.73%
Net NPA %
0.99%
Provision Coverage %
90.89%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.62%
Return on Assets %
1.05%
Branches / ATMs / Employees
Dec 2024
30,312
Interest Expended
21,163
Net Interest Income
9,149
5,802
Total Income
37,430
Operating Expenses
7,114
Operating Profit
7,837
Provisions & Contingencies
2,398
Profit before Tax
5,438
Tax %
24.53%
Net Profit
4,104
EPS
5
Gross NPA %
3.34%
Net NPA %
0.89%
Provision Coverage %
91.26%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.49%
Return on Assets %
1.03%
Branches / ATMs / Employees
Gross NPA %
3.34%
Net NPA %
0.89%
Provision Coverage %
91.26%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.49%
Return on Assets %
1.03%
Branches / ATMs / Employees
Mar 2025
31,002
Interest Expended
21,560
Net Interest Income
9,442
6,351
Total Income
40,256
Operating Expenses
7,509
Operating Profit
8,284
Provisions & Contingencies
1,832
Profit before Tax
6,452
Tax %
22.46%
Net Profit
5,003
EPS
6
Gross NPA %
2.94%
Net NPA %
0.70%
Provision Coverage %
0.00%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.39%
Return on Assets %
1.23%
Branches / ATMs / Employees
Gross NPA %
2.94%
Net NPA %
0.70%
Provision Coverage %
0.00%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.39%
Return on Assets %
1.23%
Branches / ATMs / Employees
Jun 2025
31,003
Interest Expended
21,994
Net Interest Income
9,009
7,060
Total Income
41,442
Operating Expenses
7,516
Operating Profit
8,554
Provisions & Contingencies
2,352
Profit before Tax
6,202
Tax %
23.38%
Net Profit
4,752
EPS
5
Gross NPA %
2.69%
Net NPA %
0.63%
Provision Coverage %
93.17%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.59%
Return on Assets %
1.17%
Branches / ATMs / Employees
Gross NPA %
2.69%
Net NPA %
0.63%
Provision Coverage %
93.17%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.59%
Return on Assets %
1.17%
Branches / ATMs / Employees
Sep 2025
31,544
Interest Expended
22,403
Net Interest Income
9,141
7,054
Total Income
42,014
Operating Expenses
7,607
Operating Profit
8,588
Provisions & Contingencies
2,354
Profit before Tax
6,234
Tax %
23.42%
Net Profit
4,774
EPS
5
Gross NPA %
2.35%
Net NPA %
0.54%
Provision Coverage %
93.59%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.26%
Return on Assets %
1.10%
Branches / ATMs / Employees
Gross NPA %
2.35%
Net NPA %
0.54%
Provision Coverage %
93.59%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.26%
Return on Assets %
1.10%
Branches / ATMs / Employees
Dec 2025
31,982
Interest Expended
22,729
Net Interest Income
9,252
7,899
Total Income
33,089
Operating Expenses
8,032
Operating Profit
9,119
Provisions & Contingencies
2,414
Profit before Tax
6,705
Tax %
23.12%
Net Profit
5,155
EPS
6
Gross NPA %
2.08%
Net NPA %
0.45%
Provision Coverage %
0.00%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.53%
Return on Assets %
1.19%
Branches / ATMs / Employees
Gross NPA %
2.08%
Net NPA %
0.45%
Provision Coverage %
0.00%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
16.53%
Return on Assets %
1.19%
Branches / ATMs / Employees
Mar 2026
31,838
Interest Expended
22,030
Net Interest Income
9,808
4,824
Total Income
36,539
Operating Expenses
7,875
Operating Profit
6,757
Provisions & Contingencies
992
Profit before Tax
5,766
Tax %
21.85%
Net Profit
4,506
EPS
5
Gross NPA %
1.84%
Net NPA %
0.43%
Provision Coverage %
94.21%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
17.07%
Return on Assets %
1.02%
Branches / ATMs / Employees
Gross NPA %
1.84%
Net NPA %
0.43%
Provision Coverage %
94.21%
NIM %
0.00%
CASA %
0.00%
Capital Adequacy %
17.07%
Return on Assets %
1.02%
Branches / ATMs / Employees
Jun 2026
32,957
Interest Expended
22,742
Net Interest Income
10,215
6,727
Total Income
39,684
Operating Expenses
8,307
Operating Profit
8,636
Provisions & Contingencies
2,080
Profit before Tax
6,556
Tax %
25.93%
Net Profit
4,856
EPS
1
Gross NPA %
1.57%
Net NPA %
0.36%
Provision Coverage %
94.76%
NIM %
2.52%
CASA %
29.70%
Capital Adequacy %
17.17%
Return on Assets %
1.04%
Branches / ATMs / Employees
Gross NPA %
1.57%
Net NPA %
0.36%
Provision Coverage %
94.76%
NIM %
2.52%
CASA %
29.70%
Capital Adequacy %
17.17%
Return on Assets %
1.04%
Branches / ATMs / Employees

Profit & Loss

Standalone Figures in Rs. Crores / View Consolidated

Mar 2017
0
Interest Expended
31,516
Net Interest Income
-31,516
7,554
Total Income
0
0
Operating Profit
-31,516
7,265
Profit before Tax
1,642
Tax %
0
Net Profit
1,122
EPS
21
NIM %
Cost-to-Income %
Credit Cost %
NIM %
Cost-to-Income %
Credit Cost %
Mar 2018
0
Interest Expended
29,089
Net Interest Income
-29,089
6,943
Total Income
0
0
Operating Profit
-29,089
16,263
Profit before Tax
-6,561
Tax %
0
Net Profit
-4,222
EPS
-70
NIM %
Cost-to-Income %
Credit Cost %
NIM %
Cost-to-Income %
Credit Cost %
Mar 2019
0
Interest Expended
32,332
Net Interest Income
-32,332
6,575
Total Income
0
0
Operating Profit
-32,332
213
Profit before Tax
-2,327
Tax %
0
Net Profit
347
EPS
0
NIM %
Cost-to-Income %
Credit Cost %
NIM %
Cost-to-Income %
Credit Cost %
Mar 2020
0
Interest Expended
35,811
Net Interest Income
-35,811
7,813
Total Income
0
0
Operating Profit
-35,811
10,830
Profit before Tax
-1,756
Tax %
0
Net Profit
-2,236
EPS
-26
NIM %
Cost-to-Income %
Credit Cost %
NIM %
Cost-to-Income %
Credit Cost %
Mar 2021
0
Interest Expended
45,178
Net Interest Income
-45,178
14,924
Total Income
0
0
Operating Profit
-45,178
14,221
Profit before Tax
3,707
Tax %
0
Net Profit
2,558
EPS
17
NIM %
Cost-to-Income %
Credit Cost %
NIM %
Cost-to-Income %
Credit Cost %
Mar 2022
0
Interest Expended
43,026
Net Interest Income
-43,026
16,497
Total Income
0
0
Operating Profit
-43,026
11,043
Profit before Tax
8,962
Tax %
0
Net Profit
5,678
EPS
32
NIM %
Cost-to-Income %
Credit Cost %
NIM %
Cost-to-Income %
Credit Cost %
Mar 2023
0
Interest Expended
52,989
Net Interest Income
-52,989
18,762
Total Income
0
0
Operating Profit
-52,989
12,875
Profit before Tax
14,173
Tax %
0
Net Profit
10,604
EPS
58
NIM %
Cost-to-Income %
Credit Cost %
NIM %
Cost-to-Income %
Credit Cost %
Mar 2024
1,08,688
Interest Expended
72,122
Net Interest Income
36,566
18,966
Total Income
1,27,654
26,120
Operating Profit
29,413
9,708
Profit before Tax
19,705
Tax %
26
Net Profit
14,554
EPS
80
NIM %
Cost-to-Income %
Credit Cost %
NIM %
Cost-to-Income %
Credit Cost %
Mar 2025
1,19,755
Interest Expended
82,683
Net Interest Income
37,072
22,453
Total Income
1,42,208
28,134
Operating Profit
31,390
8,764
Profit before Tax
22,627
Tax %
25
Net Profit
17,027
EPS
19
NIM %
Cost-to-Income %
Credit Cost %
NIM %
Cost-to-Income %
Credit Cost %
Mar 2026
1,26,366
Interest Expended
89,156
Net Interest Income
37,210
26,838
Total Income
1,53,204
31,030
Operating Profit
33,019
8,112
Profit before Tax
24,907
Tax %
23
Net Profit
19,187
EPS
21
NIM %
Cost-to-Income %
Credit Cost %
NIM %
Cost-to-Income %
Credit Cost %
TTM
Interest Expended
89,904
Net Interest Income
26,505
Total Income
1,51,326
Operating Profit
Profit before Tax
25,260
Tax %
24
Net Profit
19,290
EPS
NIM %
Cost-to-Income %
Credit Cost %
NIM %
Cost-to-Income %
Credit Cost %

COMPOUNDED SALES GROWTH

10 Years:
11%
5 Years:
13%
3 Years:
14%

COMPOUNDED PROFIT GROWTH

10 Years:
5 Years:
50%
3 Years:
22%

STOCK PRICE CAGR

10 Years:
10%
5 Years:
34%
3 Years:
26%
1 Year:
17%

RETURN ON EQUITY

10 Years:
8%
5 Years:
17%
3 Years:
20%
Last Year:
19%

Balance Sheet

Standalone Figures in Rs. Crores / View Consolidated

Corporate actions

2026

Jun 12

₹ 2.10

Rs.4.2000 per share(210%)Final Dividend

2025

Jun 13

₹ 2

Rs.4.0000 per share(200%)Final Dividend

2024

Jun 14

₹ 1.61

Rs.16.1000 per share(161%)Dividend

2023

Jun 14

₹ 1.20

Rs.12.0000 per share(120%)Dividend

2022

Jun 15

₹ 0.65

Rs.6.5000 per share(65%)Dividend

2017

Jul 12

₹ 0.10

Rs.1.0000 per share(10%)Dividend

Mar 2017
Equity Capital
597
33,088
4,95,275
39,504
Other Liabilities & Provisions
15,055
Total Liabilities
5,83,519
19,922
Balances with Banks & Money at Call
38,903
1,50,266
3,42,009
7,169
25,251
Total Assets
5,83,519
CASA Deposits
1,27,168
CASA Ratio (%)
25.68
Credit-Deposit Ratio (%)
69.05
Contingent Liabilities
4,32,470
Bills for Collection
0
Book Value per Share
474.01
CASA Deposits
1,27,168
CASA Ratio (%)
25.68
Credit-Deposit Ratio (%)
69.05
Contingent Liabilities
4,32,470
Bills for Collection
0
Book Value per Share
474.01
Mar 2018
Equity Capital
733
34,872
5,24,772
38,809
Other Liabilities & Provisions
17,701
Total Liabilities
6,16,886
22,100
Balances with Banks & Money at Call
27,812
1,44,054
3,81,703
8,319
32,898
Total Assets
6,16,886
CASA Deposits
1,42,051
CASA Ratio (%)
27.07
Credit-Deposit Ratio (%)
72.74
Contingent Liabilities
2,93,729
Bills for Collection
0
Book Value per Share
396.59
CASA Deposits
1,42,051
CASA Ratio (%)
27.07
Credit-Deposit Ratio (%)
72.74
Contingent Liabilities
2,93,729
Bills for Collection
0
Book Value per Share
396.59
Mar 2019
Equity Capital
753
35,424
5,99,033
40,992
Other Liabilities & Provisions
18,564
Total Liabilities
6,94,767
29,919
Balances with Banks & Money at Call
36,234
1,52,985
4,27,727
8,411
39,491
Total Assets
6,94,767
CASA Deposits
1,51,535
CASA Ratio (%)
25.30
Credit-Deposit Ratio (%)
71.40
Contingent Liabilities
3,59,059
Bills for Collection
0
Book Value per Share
394.68
CASA Deposits
1,51,535
CASA Ratio (%)
25.30
Credit-Deposit Ratio (%)
71.40
Contingent Liabilities
3,59,059
Bills for Collection
0
Book Value per Share
394.68
Mar 2020
Equity Capital
1,030
38,263
6,25,351
42,762
Other Liabilities & Provisions
16,469
Total Liabilities
7,23,875
22,570
Balances with Banks & Money at Call
45,701
1,76,245
4,32,175
8,276
38,907
Total Assets
7,23,875
CASA Deposits
1,69,749
CASA Ratio (%)
27.14
Credit-Deposit Ratio (%)
69.11
Contingent Liabilities
3,73,498
Bills for Collection
0
Book Value per Share
319.93
CASA Deposits
1,69,749
CASA Ratio (%)
27.14
Credit-Deposit Ratio (%)
69.11
Contingent Liabilities
3,73,498
Bills for Collection
0
Book Value per Share
319.93
Mar 2021
Equity Capital
1,647
57,238
10,10,875
49,984
Other Liabilities & Provisions
33,932
Total Liabilities
11,53,675
43,112
Balances with Banks & Money at Call
1,35,296
2,61,690
6,39,049
11,204
63,321
Total Assets
11,53,675
CASA Deposits
2,81,528
CASA Ratio (%)
27.85
Credit-Deposit Ratio (%)
63.22
Contingent Liabilities
5,07,072
Bills for Collection
0
Book Value per Share
307.28
CASA Deposits
2,81,528
CASA Ratio (%)
27.85
Credit-Deposit Ratio (%)
63.22
Contingent Liabilities
5,07,072
Bills for Collection
0
Book Value per Share
307.28
Mar 2022
Equity Capital
1,814
64,297
10,86,409
46,285
Other Liabilities & Provisions
29,299
Total Liabilities
12,28,105
51,603
Balances with Banks & Money at Call
1,30,451
2,82,013
7,03,602
11,353
49,080
Total Assets
12,28,105
CASA Deposits
3,15,916
CASA Ratio (%)
29.08
Credit-Deposit Ratio (%)
64.76
Contingent Liabilities
3,75,138
Bills for Collection
0
Book Value per Share
317.54
CASA Deposits
3,15,916
CASA Ratio (%)
29.08
Credit-Deposit Ratio (%)
64.76
Contingent Liabilities
3,75,138
Bills for Collection
0
Book Value per Share
317.54
Mar 2023
Equity Capital
1,814
71,793
11,79,219
58,090
Other Liabilities & Provisions
34,817
Total Liabilities
13,45,732
54,988
Balances with Banks & Money at Call
86,435
3,19,038
8,30,673
10,230
44,367
Total Assets
13,45,732
CASA Deposits
3,18,819
CASA Ratio (%)
27.04
Credit-Deposit Ratio (%)
70.44
Contingent Liabilities
2,89,047
Bills for Collection
0
Book Value per Share
364.54
CASA Deposits
3,18,819
CASA Ratio (%)
27.04
Credit-Deposit Ratio (%)
70.44
Contingent Liabilities
2,89,047
Bills for Collection
0
Book Value per Share
364.54
Mar 2024
Equity Capital
1,814
85,140
13,12,367
57,592
Other Liabilities & Provisions
34,627
Total Liabilities
149
71,068
Balances with Banks & Money at Call
79,692
3,57,454
9,31,613
12,228
39,486
Total Assets
149
CASA Deposits
3,28,379
CASA Ratio (%)
25.02
Credit-Deposit Ratio (%)
70.99
Contingent Liabilities
1,98,350
Bills for Collection
24,935
Book Value per Share
429.13
CASA Deposits
3,28,379
CASA Ratio (%)
25.02
Credit-Deposit Ratio (%)
70.99
Contingent Liabilities
1,98,350
Bills for Collection
24,935
Book Value per Share
429.13
Mar 2025
Equity Capital
1,814
98,086
14,29,862
1,16,686
Other Liabilities & Provisions
38,237
Total Liabilities
168
89,999
Balances with Banks & Money at Call
1,15,342
3,82,179
10,49,155
10,215
37,796
Total Assets
168
CASA Deposits
3,37,135
CASA Ratio (%)
23.58
Credit-Deposit Ratio (%)
73.37
Contingent Liabilities
3,81,623
Bills for Collection
27,020
Book Value per Share
103.02
CASA Deposits
3,37,135
CASA Ratio (%)
23.58
Credit-Deposit Ratio (%)
73.37
Contingent Liabilities
3,81,623
Bills for Collection
27,020
Book Value per Share
103.02
Mar 2026
Equity Capital
1,814
1,11,568
15,68,678
1,55,288
Other Liabilities & Provisions
45,853
Total Liabilities
188
54,054
Balances with Banks & Money at Call
1,52,249
4,03,415
12,20,017
10,570
42,896
Total Assets
188
CASA Deposits
3,66,582
CASA Ratio (%)
23.37
Credit-Deposit Ratio (%)
77.77
Contingent Liabilities
5,75,431
Bills for Collection
29,504
Book Value per Share
117.92
CASA Deposits
3,66,582
CASA Ratio (%)
23.37
Credit-Deposit Ratio (%)
77.77
Contingent Liabilities
5,75,431
Bills for Collection
29,504
Book Value per Share
117.92

Cash Flows

Standalone Figures in Rs. Crores / View Consolidated

Mar 2017
2,316
Cash from Investing
-348
Cash from Financing
124
2,092
Mar 2018
-11,504
Cash from Investing
-274
Cash from Financing
2,865
-8,913
Mar 2019
17,886
Cash from Investing
-461
Cash from Financing
-1,185
16,240
Mar 2020
-5,459
Cash from Investing
-277
Cash from Financing
7,855
2,119
Mar 2021
58,533
Cash from Investing
-666
Cash from Financing
284
58,151
Mar 2022
268
Cash from Investing
-657
Cash from Financing
4,035
3,646
Mar 2023
-40,676
Cash from Investing
-390
Cash from Financing
435
-40,631
Mar 2024
14,254
Cash from Investing
-1,083
Cash from Financing
-3,834
9,337
Mar 2025
59,947
Cash from Investing
-1,860
Cash from Financing
-3,506
54,580
Mar 2026
6,786
Cash from Investing
-1,028
Cash from Financing
-4,795
963

Ratios

Standalone Figures in Rs. Crores / View Consolidated

Mar 2017
EPS (₹)
18.78
Book Value (₹)
474.01
Dividend per Share (₹)
1.00
Net Interest Margin %
0.00%
ROA %
0.20%
ROE %
4.12%
0.00%
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
Slippage Ratio %
CASA %
0.00%
Credit-Deposit Ratio %
0.00%
0.00%
Net Profit Growth %
139.89%
Book Value Growth %
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
0.00%
Mar 2018
EPS (₹)
-57.58
Book Value (₹)
396.59
Dividend per Share (₹)
0.00
Net Interest Margin %
0.00%
ROA %
-0.70%
ROE %
-14.71%
0.00%
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
Slippage Ratio %
CASA %
0.00%
Credit-Deposit Ratio %
0.00%
0.00%
Net Profit Growth %
-476.34%
Book Value Growth %
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
0.00%
Mar 2019
EPS (₹)
4.61
Book Value (₹)
394.68
Dividend per Share (₹)
0.00
Net Interest Margin %
0.00%
ROA %
0.05%
ROE %
1.18%
0.00%
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
Slippage Ratio %
CASA %
0.00%
Credit-Deposit Ratio %
0.00%
0.00%
Net Profit Growth %
108.22%
Book Value Growth %
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
0.00%
Mar 2020
EPS (₹)
-21.70
Book Value (₹)
319.93
Dividend per Share (₹)
0.00
Net Interest Margin %
0.00%
ROA %
-0.32%
ROE %
-7.13%
0.00%
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
Slippage Ratio %
CASA %
0.00%
Credit-Deposit Ratio %
0.00%
0.00%
Net Profit Growth %
-744.27%
Book Value Growth %
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
0.00%
Mar 2021
EPS (₹)
15.53
Book Value (₹)
307.28
Dividend per Share (₹)
0.00
Net Interest Margin %
0.00%
ROA %
0.27%
ROE %
6.12%
0.00%
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
Slippage Ratio %
CASA %
0.00%
Credit-Deposit Ratio %
0.00%
0.00%
Net Profit Growth %
214.40%
Book Value Growth %
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
0.00%
Mar 2022
EPS (₹)
31.30
Book Value (₹)
317.54
Dividend per Share (₹)
6.50
Net Interest Margin %
0.00%
ROA %
0.48%
ROE %
10.50%
0.00%
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
Slippage Ratio %
CASA %
0.00%
Credit-Deposit Ratio %
0.00%
0.00%
Net Profit Growth %
122.02%
Book Value Growth %
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
0.00%
Mar 2023
EPS (₹)
58.45
Book Value (₹)
364.54
Dividend per Share (₹)
12.00
Net Interest Margin %
0.00%
ROA %
0.82%
ROE %
17.14%
0.00%
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
Slippage Ratio %
CASA %
0.00%
Credit-Deposit Ratio %
0.00%
0.00%
Net Profit Growth %
86.74%
Book Value Growth %
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
0.00%
Mar 2024
EPS (₹)
80.23
Book Value (₹)
429.13
Dividend per Share (₹)
16.10
Net Interest Margin %
2.54%
ROA %
1.03%
ROE %
20.22%
47.04%
Gross NPA %
0.00%
Net NPA %
0.00%
Provision Coverage %
0.00%
Slippage Ratio %
CASA %
29.90%
Credit-Deposit Ratio %
0.04%
16.28%
Net Profit Growth %
37.26%
Book Value Growth %
17.72%
P/E (x)
1.45x
P/B (x)
1.35x
2.77%
Mar 2025
EPS (₹)
18.77
Book Value (₹)
103.02
Dividend per Share (₹)
4.00
Net Interest Margin %
2.27%
ROA %
1.07%
ROE %
19.88%
47.27%
Gross NPA %
2.94%
Net NPA %
0.70%
Provision Coverage %
92.70%
Slippage Ratio %
CASA %
29.03%
Credit-Deposit Ratio %
0.08%
16.33%
Net Profit Growth %
16.99%
Book Value Growth %
-75.99%
P/E (x)
4.74x
P/B (x)
0.86x
4.49%
Mar 2026
EPS (₹)
21.15
Book Value (₹)
117.92
Dividend per Share (₹)
4.20
Net Interest Margin %
2.03%
ROA %
1.08%
ROE %
19.15%
48.45%
Gross NPA %
1.84%
Net NPA %
0.43%
Provision Coverage %
94.21%
Slippage Ratio %
CASA %
27.34%
Credit-Deposit Ratio %
0.10%
17.04%
Net Profit Growth %
12.69%
Book Value Growth %
14.46%
P/E (x)
5.84x
P/B (x)
1.05x
3.40%

Shareholding Pattern

Numbers in percentages

TRADES
Sep 2024
62.93
11.24
11.65
Government
0.00
14.17
Dec 2024
62.93
11.09
11.71
Government
0.00
14.23
Mar 2025
62.93
10.53
11.85
Government
0.00
14.67
Jun 2025
62.93
11.37
11.41
Government
0.00
14.27
Sep 2025
62.93
11.88
12.23
Government
0.00
12.92
Dec 2025
62.93
14.60
10.47
Government
0.00
11.97
Mar 2026
62.93
14.23
10.91
Government
0.00
11.93
Jun 2026
62.93
12.67
11.91
Government
0.00
12.48

Documents

Announcements

  • Updates

    2026-08-11 - Canara Bank has informed the Exchange regarding 'Revision in Marginal Cost of Funds Based Lending Rate (MCLR)w.e.f. 12.08.2026'.

  • Action(s) initiated or orders passed

    2026-08-10 - Canara Bank has informed the Exchange about Action(s) initiated or orders passed

Credit Ratings

  • Credit Rating

    2026-03-09 - Canara Bank has informed the Exchange about Credit Rating

  • Credit Rating

    2026-02-13 - Canara Bank has informed the Exchange about Credit Rating

  • Credit Rating

    2026-02-13 - Canara Bank has informed the Exchange about Credit Rating

Concalls