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Document - Appendix Table VI.3: Consolidated Balance Sheet of NBFC-ML () or PDF - Appendix Table VI.3: Consolidated Balance Sheet of NBFC-ML ()
Date : Dec 29, 2025
Appendix Table VI.3: Consolidated Balance Sheet of NBFC-ML
(₹ crore)
Items End-March End-March End-March End-September Percentage Variation
2023 2024 2025 2025 2024-25
1 2 3 4 5 6
1. Share Capital 1,18,734 1,36,076 1,38,050 1,38,706 1.5
2. Reserves & Surplus 6,63,988 8,05,549 9,26,665 9,42,937 15.0
3. Public Deposits 20,178 19,858 20,525 21,607 3.4
4. Total Borrowings (A+B) 22,30,810 25,12,878 29,14,280 30,93,364 16.0
A. Secured Borrowings 11,10,542 12,13,171 13,29,682 14,02,230 9.6
A.1. Debentures 4,09,128 4,12,734 4,57,273 4,89,291 10.8
A.2. Borrowings from Banks 5,88,642 6,68,392 7,13,997 7,17,537 6.8
A.3. Borrowings from FIs 46,422 55,401 63,933 64,683 15.4
A.4. Interest Accrued 9,081 8,804 8,058 8,229 -8.5
A.5. Others 57,270 67,839 86,421 1,22,490 27.4
B. Un-Secured Borrowings 11,20,267 12,99,708 15,84,598 16,91,134 21.9
B.1. Debentures 4,72,982 5,48,821 6,72,617 7,10,177 22.6
B.2. Borrowings from Banks 2,12,209 2,56,623 3,10,362 3,62,156 20.9
B.3. Borrowings from FIs 13,149 17,715 19,733 24,844 11.4
B.4. Borrowings from Relatives 1,765 1,907 2,152 2,423 12.8
B.5. Inter-Corporate Borrowings 78,504 79,826 1,06,117 1,28,412 32.9
B.6. Commercial Papers 44,070 51,293 73,928 85,034 44.1
B.7. Interest Accrued 15,770 18,480 21,948 25,040 18.8
B.8. Others 2,81,818 3,25,043 3,77,741 3,53,048 16.2
5. Current Liabilities & Provisions 2,84,171 3,05,588 3,27,615 3,55,683 7.2
Total Liabilities/ Total Assets 33,17,880 37,79,949 43,27,135 45,52,297 14.5
1. Loans & Advances 24,95,502 28,67,111 33,22,733 34,88,965 15.9
1.1. Secured 16,80,739 21,84,049 25,28,823 26,36,646 15.8
1.2. Un-Secured 8,14,763 6,83,063 7,93,910 8,52,319 16.2
2. Investments 4,57,942 5,71,606 6,49,368 6,65,497 13.6
2.1. Govt. Securities 54,390 72,614 97,693 1,08,408 34.5
2.2. Equity Shares 2,68,591 3,60,250 3,81,385 3,46,781 5.9
2.3. Preference Shares 6,967 8,574 8,892 8,745 3.7
2.4. Debentures & Bonds 31,561 36,209 45,440 47,578 25.5
2.5. Units of Mutual Funds 55,629 50,026 68,011 1,02,065 35.9
2.6. Commercial Papers 485 1,566 1,536 3,387 -1.9
2.7. Other Investments 40,319 42,368 46,411 48,534 9.5
3. Cash & Bank Balances 1,25,159 1,30,332 1,49,535 1,75,192 14.7
of which:          
3.1. Cash in Hand 5,738 5,774 4,410 22,338 -23.6
3.2. Deposits with Banks 1,08,921 1,13,416 1,29,819 1,37,645 14.5
4. Others 2,39,276 2,10,900 2,05,499 2,22,643 -2.6
Memo Items          
1. Capital Market Exposure (CME) 2,66,164 3,52,575 3,74,866 3,75,160 6.3
of which: Equity Shares 1,98,622 2,75,344 2,79,369 2,69,230 1.5
2. CME as per cent to Total Assets 8.0 9.3 8.7 8.2  
3. Leverage Ratio 4.3 4.0 4.0 4.2  
- : Not applicable or Not available or Nil
Notes: 1. Data are provisional. Percentage figures are rounded-off.
2. Data for NBFCs (excluding CICs, HFCs and SPDs) falling in upper and middle layers.
3. The data is based on the classification of NBFCs by layers as per the list of NBFCs registered with the RBI. Layer-wise identification of NBFCs up to March-2025 is based on their position as on December 31, 2024. For September-2025, the same position is considered, except where there was change in layer of NBFC between January and September 2025.
Source: Supervisory returns, RBI.