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Other assets (Tables)
12 Months Ended
Mar. 31, 2023
Other Assets Disclosure
Other assets include the following:
 
                                                                      
    
As of March 31,
 
    
2022
    
2023
    
2023
 
                      
    
(In millions)
 
Security deposits for leased property
  
Rs.  
5,687.6
 
  
Rs.  
6,461.8
 
  
US$
78.6
 
Sundry accounts receivable
  
 
52,033.2
 
  
 
84,217.8
 
  
 
1,024.7
 
Advance income tax (in excess of current tax expense)
  
 
41,941.6
 
  
 
52,006.4
 
  
 
632.8
 
Advances
  
 
10,705.4
 
  
 
14,724.3
 
  
 
179.1
 
Prepaid expenses
  
 
4,333.2
 
  
 
4,757.4
 
  
 
57.9
 
Deposits/Margins paid
  
 
10,330.7
 
  
 
14,959.0
 
  
 
182.0
 
Derivatives (see note 23)
  
 
80,202.3
 
  
 
121,749.4
 
  
 
1,481.3
 
Term placements
  
 
471,502.0
 
  
 
970,063.2
 
  
 
11,802.7
 
Receivable on account of trade date
  
 
2,025.2
 
  
 
8,442.2
 
  
 
102.7
 
Right-of-use assets
  
 
71,572.2
 
  
 
89,989.3
 
  
 
1,094.9
 
Others
 
(
*
)
  
 
114,420.9
 
  
 
129,380.8
 
  
 
1,574.1
 
    
 
 
    
 
 
    
 
 
 
Total
  
Rs.  
864,754.3
 
  
Rs.  
1,496,751.6
 
  
US$
18,210.8
 
    
 
 
    
 
 
    
 
 
 
 
(
*
)
 
Others include equity securities with carrying value amounting to Rs. 
14,736.7
 million and Rs.
22,103.4
million as
of
March 31, 2022 and March 31, 2023, respectively. Equity securities include non-marketable equity securities carried at cost of Rs. 
2,665.9
 million and Rs.
2,640.8
 million as
of
March 31, 2022 and March 31, 2023, respectively. Unrealized gain/(loss)
 
recognized in non-interest revenue–other, net amount to Rs. 
(7,633.5)
 million and Rs. 
7,160.1
 million for the 
fiscal
years ended March 31, 2022 and March 31, 2023, respectively.