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Date:03-May-2024 Time: 3:49 PM |
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(Rs. In Crores) | Particulars | Mar 2023 | Mar 2022 | Mar 2021 | Mar 2020 | Mar 2019 | Share Capital | 305.43 | 288.37 | 267.60 | 125.35 | 125.35 | Reserves & Surplus | 2124.63 | 1530.95 | 766.23 | -442.04 | 2387.82 | Total Shareholders Funds | 2430.06 | 1819.32 | 1033.83 | -316.69 | 2513.17 | Secured Loans | 0.00 | 98.87 | 740.74 | 1075.56 | 1383.68 | Unsecured Loans | 61.42 | 255.75 | 246.60 | 788.01 | 1132.25 | Total Debt | 61.42 | 354.62 | 987.34 | 1863.57 | 2515.93 | Total Liabilities | 2491.48 | 2173.94 | 2021.17 | 1546.88 | 5029.10 | Gross Block | 1570.30 | 1501.08 | 1463.04 | 1492.69 | 1555.60 | Less: Accum. Depreciation | 799.47 | 733.28 | 662.19 | 610.08 | 548.70 | Net Block | 770.83 | 767.80 | 800.85 | 882.61 | 1006.90 | Capital Work in Progress | 29.04 | 24.69 | 10.25 | 15.46 | 34.79 | Investments | 302.77 | 343.03 | 303.65 | 14.76 | 898.87 | Inventories | 490.46 | 446.77 | 381.92 | 272.69 | 531.16 | Sundry Debtors | 1229.72 | 889.48 | 521.67 | 403.06 | 1178.53 | Cash and Bank Balance | 654.89 | 413.27 | 393.21 | 140.62 | 120.41 | Loans and Advances | 740.72 | 953.31 | 1467.24 | 1621.02 | 3640.40 | Total Current Assets | 3115.79 | 2702.83 | 2764.04 | 2437.39 | 5470.50 | Current Liabilities | 1579.33 | 1523.00 | 1709.47 | 1686.37 | 2306.13 | Provisions | 147.62 | 141.41 | 148.15 | 116.97 | 75.83 | Total Current Liabilities | 1726.95 | 1664.41 | 1857.62 | 1803.34 | 2381.96 | Net Current Assets | 1388.84 | 1038.42 | 906.42 | 634.05 | 3088.54 | Miscellaneous Expenses not w/o | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | Total Assets | 2491.48 | 2173.94 | 2021.17 | 1546.88 | 5029.10 | Contingent Liabilities | 23.24 | 24.37 | 34.83 | 245.57 | 427.97 |
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