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UCO Bank
Banks - Public Sector
BSE Code 532505 border-img ISIN Demat INE691A01018 border-img Book Value 22.30 border-img NSE Symbol UCOBANK border-img Div & Yield % 1.18 border-img Market Cap ( Cr.) 41305.31 border-img P/E 16.89 border-img EPS 1.95 border-img Face Value 10
ParticularsMar 2025
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Mar 2024
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Mar 2023
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Mar 2022
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Mar 2021
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Mar 2020
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INCOME :       
Interest Earned 25066.9121854.3417650.5214981.3414446.1515134.33
Other Income 4406.633265.532508.463100.813424.172871.21
Total Income 29473.5425119.8720158.9818082.1517870.3218005.54
II. Expenditure       
Interest expended 15436.8313753.5610307.398508.398966.4510042.06
Payments to/Provisions for Employees 5453.114886.673872.743314.313442.651929.40
Operating Expenses & Administrative Expenses 980.12760.74678.19605.48599.93548.57
Depreciation 311.26280.92217.52164.96134.42137.29
Other Expenses, Provisions & Contingencies 3458.662869.132178.023738.654802.369060.77
Provision for Tax 53.2619.3731.702.89433.290.00
Fringe Benefit tax 0.000.000.000.000.000.00
Deferred Tax 1335.33895.741011.07817.71-675.81-1275.71
Total Expenditure 27028.5623466.1218296.6417152.3917703.2920442.38
III. Profit & Loss       
Reported Net Profit 2444.991653.741862.34929.76167.03-2436.83
Extraordinary Items 0.260.370.110.2799.340.11
Adjusted Net Profit 2444.731653.371862.23929.4967.69-2436.94
Prior Year Adjustments 0.000.000.000.000.000.00
Profit brought forward 2513.741618.5796.720.00-12537.40-9975.45
IV. Appropriations       
Transfer to Statutory Reserve 611.25413.44465.58232.4441.760.00
Transfer to Other Reserves 627.05345.14-125.10600.61244.91125.11
Trans. to Government /Proposed Dividend 0.000.000.000.000.000.00
Balance carried forward to Balance Sheet 3720.432513.741618.5796.72-12657.03-12537.40
Equity Dividend % 3.902.800.000.000.000.00
Dividend Per Share(Rs) 0.390.280.000.000.000.00
Earnings Per Share-Unit Curr 1.951.381.560.780.17-2.46
Earnings Per Share(Adj)-Unit Curr 1.951.381.560.780.17-2.46
Book Value-Unit Curr 22.3020.3719.2017.4517.4617.00
Book Value(Adj)-Unit Curr 22.3020.3719.2017.4517.4617.00
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