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Canara Bank stock under pressure post Q3FY26 results

in Data Story, Market
Reading Time: 2 mins read
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Canara Bank proposes to raise Basel III–Compliant Tier II Bonds
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Debasis Mohapatra

Bengaluru, 30 Jan 2026

Canara Bank’s stock price came under pressure after the company reported its Q3FY26 results. The public sector lender’s other income witnessed sound increase while core income rose slowly.

Here is a snapshot:

ParticularsQ3FY26YoY
Net ProfitRs 5,155 crore25.61% ↑
Net Interest Income (NII)Rs 9,252 crore1.13% ↑
Other IncomeRs 7,899.4 crore36% ↑
Net Interest Margin (NIM)2.5%33 basis points ↓ 
Gross AdvancesRs 11.92 lakh crore13.59% ↑
Total DepositsRs 15.21 lakh crore12.95% ↑
Gross NPA2.08% 1.26% improvement
Net NPA0.45%44 basis points ↓
Slippage Ratio0.64%32 basis points ↓

Disclaimer: The information is for educational purposes only. Please consult your financial advisor before investing in stocks.

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