You can view the
Balance Sheet
for the last 5 years.
Market Cap. (Rs.)
|
249767.78 Cr.
|
P/BV
|
3.07
|
Book Value (Rs.)
|
77.71
|
52 Week High/Low (Rs.)
|
325/209
|
FV/ML
|
2/1
|
P/E(X)
|
19.01
|
Bookclosure
|
28/01/2025
|
EPS (Rs.)
|
12.54
|
Div Yield (%)
|
2.52
|
|
(Rs. in Crs.)
Months | 12 | 12 | 12 | 12 | 12 |
Source Of Info (AR = Annual Report, PR = Press Release) | PR | AR | AR | AR | AR |
FaceValue | 2.00 | 2.00 | 2.00 | 2.00 | 2.00 |
No. of Equity Shares (in Lacs) | 104720.00 | 52251.38 | 54879.18 | 54820.70 | 54791.39 |
| | | | | |
EQUITIES AND LIABILITIES | | | | | |
SHAREHOLDER'S FUNDS | | | | | |
Equity Share Capital | 2094.40 | 1045.00 | 1097.60 | 1096.40 | 1095.80 |
Total Share Capital | 2094.40 | 1045.00 | 1097.60 | 1096.40 | 1095.80 |
| | | | | |
Reserves and Surplus | 80269.70 | 73488.00 | 76570.30 | 64306.60 | 53805.20 |
Total Reserves and Surplus | 80269.70 | 73488.00 | 76570.30 | 64306.60 | 53805.20 |
Total Shareholders Funds | 82364.10 | 74533.00 | 77667.90 | 65403.00 | 54901.00 |
Minority Interest | 213.80 | 134.00 | 58.90 | 51.50 | 149.80 |
| | | | | |
NON-CURRENT LIABILITIES | | | | | |
Long Term Borrowings | 6395.40 | 6230.00 | 6127.20 | 5646.30 | 745.80 |
Deferred Tax Liabilities [Net] | 1644.30 | 1746.70 | 1515.30 | 1214.10 | 460.60 |
Other Long Term Liabilities | 8476.70 | 6479.20 | 4694.40 | 4085.50 | 3165.30 |
Long Term Provisions | 465.60 | 421.90 | 294.70 | 272.10 | 305.70 |
Total Non-Current Liabilities | 16982.00 | 14877.80 | 12631.60 | 11218.00 | 4677.40 |
| | | | | |
CURRENT LIABILITIES | | | | | |
Short Term Borrowings | 9786.30 | 7916.60 | 8882.10 | 9523.30 | 6036.30 |
Trade Payables | 5866.70 | 5765.50 | 5972.30 | 6252.20 | 5417.40 |
Other Current Liabilities | 11208.50 | 9760.90 | 10077.50 | 13249.30 | 10002.50 |
Short Term Provisions | 1763.80 | 1802.80 | 1843.40 | 1808.10 | 1547.80 |
Total Current Liabilities | 28625.30 | 25245.80 | 26775.30 | 30832.90 | 23004.00 |
| | | | | |
Total Capital And Liabilities | 128185.20 | 114790.60 | 117133.70 | 107505.40 | 82732.20 |
| | | | | |
ASSETS | | | | | |
NON-CURRENT ASSETS | | | | | |
Tangible Assets | 10407.10 | 9208.30 | 10103.80 | 9348.00 | 8217.10 |
Intangible Assets | 2745.00 | 3274.80 | 4304.50 | 4355.50 | 1308.50 |
Capital Work-In-Progress | 196.40 | 723.40 | 617.10 | 1601.50 | 1853.20 |
Fixed Assets | 13348.50 | 13206.50 | 15025.40 | 15305.00 | 11378.80 |
Goodwill On Consolidation | 32034.60 | 31144.90 | 30348.50 | 24286.10 | 13514.70 |
Non-Current Investments | 2778.50 | 2267.30 | 2150.00 | 1988.30 | 1204.00 |
Deferred Tax Assets [Net] | 256.10 | 181.70 | 210.00 | 229.80 | 166.40 |
Other Non-Current Assets | 1990.00 | 2924.00 | 3290.20 | 3621.00 | 4149.70 |
Total Non-Current Assets | 50407.70 | 49724.40 | 51024.10 | 45430.20 | 30413.60 |
| | | | | |
| | | | | |
CURRENT ASSETS | | | | | |
Current Investments | 41147.40 | 31117.10 | 30923.20 | 24165.50 | 17570.70 |
Inventories | 69.40 | 90.70 | 118.80 | 133.40 | 106.40 |
Trade Receivables | 18202.50 | 17382.20 | 18686.50 | 11521.90 | 9429.80 |
Cash And Cash Equivalents | 12197.40 | 9695.30 | 9188.00 | 10383.60 | 16979.30 |
OtherCurrentAssets | 6160.80 | 6780.90 | 7193.10 | 15870.80 | 8232.40 |
Total Current Assets | 77777.50 | 65066.20 | 66109.60 | 62075.20 | 52318.60 |
| | | | | |
Total Assets | 128185.20 | 114790.60 | 117133.70 | 107505.40 | 82732.20 |
| | | | | |
OTHER INFORMATION | | | | | |
| | | | | |
CONTINGENT LIABILITIES, COMMITMENTS | | | | | |
Contingent Liabilities | 0.00 | 13453.70 | 13045.60 | 13307.20 | 11606.30 |
| | | | | |
BONUS DETAILS | | | | | |
Bonus Equity Share Capital | 0.00 | 1041.90 | 1094.34 | 1094.34 | 1094.34 |
| | | | | |
NON-CURRENT INVESTMENTS | | | | | |
Non-Current Investments Quoted Market Value | 0.00 | 10.80 | 3.30 | 4.10 | 2.60 |
Non-Current Investments Unquoted Book Value | 0.00 | 2152.10 | 2068.70 | 1906.80 | 1055.00 |
| | | | | |
CURRENT INVESTMENTS | | | | | |
Current Investments Quoted Market Value | 0.00 | 20147.70 | 22836.70 | 19090.20 | 13138.20 |
Current Investments Unquoted Book Value | 0.00 | 10969.40 | 8086.50 | 5075.30 | 4432.50 |