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Rander Corporation Ltd. Balance Sheet
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You can view the Balance Sheet for the last 5 years.
Market Cap. (Rs.) 14.31 Cr. P/BV 0.63 Book Value (Rs.) 18.54
52 Week High/Low (Rs.) 15/10 FV/ML 10/1 P/E(X) 0.00
Bookclosure 30/09/2024 EPS (Rs.) 0.00 Div Yield (%) 0.00
 
(Rs. in Crs.)
ParticularsMar 25Mar 24Mar 23Mar 22Mar 21
Months1212121212
Source Of Info (AR = Annual Report, PR = Press Release)ARARARARAR
FaceValue10.0010.0010.0010.0010.00
No. of Equity Shares (in Lacs)123.37123.37123.37123.37123.37
      
EQUITIES AND LIABILITIES     
SHAREHOLDER'S FUNDS     
Equity Share Capital12.3412.3412.3412.3412.34
Total Share Capital12.3412.3412.3412.3412.34
      
Reserves and Surplus10.5310.488.937.967.74
Total Reserves and Surplus10.5310.488.937.967.74
Total Shareholders Funds22.8722.8121.2720.3020.08
      
NON-CURRENT LIABILITIES     
Long Term Borrowings0.510.210.190.200.00
Other Long Term Liabilities0.000.000.000.000.30
Total Non-Current Liabilities0.510.210.190.200.30
      
CURRENT LIABILITIES     
Trade Payables0.080.190.120.130.38
Other Current Liabilities2.722.722.712.882.86
Short Term Provisions0.110.720.610.500.03
Total Current Liabilities2.913.633.443.513.27
      
Total Capital And Liabilities26.2926.6524.8924.0223.65
      
ASSETS     
NON-CURRENT ASSETS     
Tangible Assets0.200.070.110.050.06
Other Assets5.004.094.093.190.00
Fixed Assets5.204.164.203.240.06
Non-Current Investments3.624.684.504.107.29
Deferred Tax Assets [Net]0.020.020.020.020.02
Long Term Loans And Advances0.000.000.000.000.69
Other Non-Current Assets0.720.600.680.690.00
Total Non-Current Assets9.579.469.398.058.07
      
      
CURRENT ASSETS     
Inventories4.342.881.331.892.10
Trade Receivables0.360.300.700.190.65
Cash And Cash Equivalents0.360.190.540.180.07
Short Term Loans And Advances11.5913.5412.7213.4212.76
OtherCurrentAssets0.070.280.200.290.00
Total Current Assets16.7217.1915.5015.9615.58
      
Total Assets26.2926.6524.8924.0223.65
      
NON-CURRENT INVESTMENTS     
Non-Current Investments Unquoted Book Value0.000.000.000.000.53

 
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