Kotak Mahindra Bank Ltd (KOTAKBANK) — shareholding pattern, promoter holding, financials and share price

About Kotak Mahindra Bank Ltd (KOTAKBANK)

Kotak Mahindra Bank Ltd operates in the Private Sector Bank industry, within the Financial Services sector. It trades on the NSE as KOTAKBANK and on the BSE under scrip code 500247. Its ISIN is INE237A01036.

Kotak Mahindra Bank is a diversified financial services group providing a wide range of banking and financial services including Retail Banking, Treasury and Corporate Banking, Investment Banking, Stock Broking, Vehicle Finance, Advisory services, Asset Management, Life Insurance and General Insurance. [1]

Kotak Mahindra Bank Limited is one of India's leading financial institutions and operates across sectors including retail banking, commercial banking, investment banking, and more. The bank offers a range of financial services through its 19 subsidiaries, addressing the needs of diverse customer segments.

In Q3FY26, Kotak Mahindra Bank reported a consolidated PAT of ₹4,924 crore, showcasing a 5% increase from the previous year. This reflects its strategic focus on scaling operations responsibly while maintaining profitability.

Listed peers in Private Sector Bank: Axis Bank Ltd, IDBI Bank Ltd, Federal Bank Ltd, IndusInd Bank Ltd, Yes Bank Ltd, IDFC First Bank Ltd.

Valuation & Returns

10 Jul 2026

At ₹377.8 a share on 10 Jul 2026, Kotak Mahindra Bank Ltd (KOTAKBANK) was valued at a price-to-earnings ratio of 19.48x against an industry P/E of 13.51x and a price-to-book of 2.39x on a book value of ₹158.33 per share as of Mar 2025. Solomo computes return on equity of 12.25% and return on capital employed of 5.55% from filed results. Earnings ratios use consolidated results for the twelve months Jun 2025 to Mar 2026.

P/E
19.48x
Industry P/E
13.51x
P/B
2.39x
EPS (TTM)
₹19.39
Book value / share
₹158.33
ROE
12.25%
ROCE
5.55%
ROA
2.19%
Debt / equity
3.76x
Dividend yield
0.66%
EBITDA margin
79.7%
52-week range
₹345.4 – ₹452.98

Ratios are computed from filed results and the last recorded price. Not investment advice.

Financial Performance

Mar 2026

In the year ended Mar 2026, Kotak Mahindra Bank Ltd (KOTAKBANK) reported revenue of ₹69,781 crore, net profit of ₹19,288 crore and earnings per share of ₹19.39. That compares with revenue of ₹65,669 crore and net profit of ₹22,126 crore in Mar 2025. Figures are consolidated, as filed with the exchanges.

In the quarter ended Mar 2026, revenue was ₹17,827 crore and net profit ₹5,423 crore (consolidated).

Consolidated annual results for Kotak Mahindra Bank Ltd (KOTAKBANK), Mar 2022 to Mar 2026. Revenue and net profit in ₹ crore; EPS in ₹ per share.
MetricMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Revenue (₹ cr)33,74042,15156,23765,66969,781
Net profit (₹ cr)12,08914,92518,21322,12619,288
EPS (₹)12.1815.0318.3222.2619.39
Compound annual growth for Kotak Mahindra Bank Ltd (KOTAKBANK). Stock price CAGR is price return and excludes dividends.
Measure10Y5Y3Y1Y
Sales growth13.91%14.47%25.09%16.77%
Profit growth25.77%22.57%24.27%22.08%
Stock price CAGR9%2%0%-13%

Ownership Summary

Jun 2026

As of Jun 2026, promoters hold 25.87% of Kotak Mahindra Bank Ltd (KOTAKBANK) (unchanged from the previous quarter), foreign institutional investors (FII) hold 25.21% and domestic institutional investors (DII) hold 37.71%. Market capitalisation was ₹3,75,787 crore on 10 Jul 2026. Shareholding is filed quarterly with BSE and NSE; Solomo carries every filing back to Mar 2001.

Largest disclosed public shareholders in Jun 2026: Life Insurance Corporation of India 6.9%, SBI Mutual Fund 6.42%, HDFC Mutual Fund 3.51%, ICICI Prudential Mutual Fund 2.96%, National Pension System Trust 2.29%, UTI Mutual Fund 2%. Only stakes above the 1% disclosure threshold are named in filings.

QuarterPromoterPledgedFIIDIIPublic
Jun 202625.87%-25.21%37.71%74.13%
Mar 202625.87%-26.4%36.18%74.13%
Dec 202525.87%-29.36%32.88%74.13%
Sep 202525.88%-29.75%32.01%74.12%
Jun 202525.88%-32.34%29.61%74.12%
Mar 202525.88%-32.65%29.14%74.12%
Dec 202425.89%-32.48%28.79%74.11%
Sep 202425.89%-33.4%27.91%74.11%
Every quarter since Mar 2001 Filing data, not investment advice.