Shareholder's Funds
76,997.18
64,927.43
64,114.28
53,182.34
49,268.25
46,004.10
41,678.57
39,304.89
36,403.41
34,022.67
Share Capital
6,575.10
6,575.10
4,440.39
4,440.39
4,510.14
2,255.07
2,255.07
1,691.30
1,268.48
1,268.48
Total Reserves
70,422.08
58,352.33
59,673.89
48,741.95
44,758.11
43,749.03
39,423.50
37,613.59
35,134.93
32,754.19
Non-Current Liabilities
28,568.33
22,459.49
20,564.96
17,185.17
15,052.80
13,757.78
9,971.70
11,027.58
12,439.83
24,330.47
Secured Loans
11,231.02
7,304.69
5,448.39
5,118.50
3,510.93
656.82
499.49
1,436.75
2,487.33
9,654.03
Unsecured Loans
1,575.00
1,575.00
19.67
118.90
262.47
370.14
619.15
1,743.09
3,377.52
5,098.35
Long Term Provisions
3,629.47
2,305.87
4,080.43
2,189.39
2,508.57
2,762.49
2,130.45
2,213.98
625.22
3,770.71
Current Liabilities
21,640.54
21,711.02
15,093.33
12,177.26
12,476.15
10,660.02
11,186.30
9,299.11
10,167.10
12,712.45
Trade Payables
6,639.67
7,143.56
5,361.26
4,453.18
3,922.18
3,876.07
3,903.89
2,740.65
2,909.15
3,413.74
Other Current Liabilities
10,175.23
8,258.84
7,639.23
5,372.47
5,214.61
4,986.00
5,439.67
5,090.61
5,889.47
6,733.71
Short Term Borrowings
3,749.58
5,380.06
1,219.64
1,522.90
2,564.20
1,042.90
977.66
729.19
811.68
1,174.16
Short Term Provisions
1,076.06
928.56
873.20
828.71
775.16
755.05
865.08
738.66
556.80
1,390.84
Total Liabilities
1,27,404.65
1,09,277.49
99,963.75
82,642.26
76,884.24
70,467.85
62,875.49
59,664.58
59,037.58
72,823.89
Net Block
55,188.50
49,696.87
44,572.06
41,160.34
38,229.62
32,700.28
30,480.29
30,091.84
29,946.45
33,976.30
Gross Block
75,194.46
66,126.61
58,337.21
52,616.90
47,795.21
39,038.49
34,988.15
32,798.67
31,146.29
49,912.80
Accumulated Depreciation
19,747.64
16,112.03
13,353.02
10,998.37
9,113.63
6,303.30
4,492.31
2,706.83
1,199.84
15,936.50
Non Current Assets
1,07,132.84
88,746.80
83,656.60
71,775.02
65,227.35
59,419.22
51,987.07
50,280.46
49,425.21
60,460.26
Capital Work in Progress
23,626.78
16,646.50
15,490.40
13,399.66
11,666.31
9,737.50
5,938.39
4,126.04
3,688.04
13,805.93
Non Current Investment
21,910.04
17,248.32
16,408.15
12,589.26
9,892.95
10,721.50
10,070.40
10,125.09
9,844.40
1,132.89
Long Term Loans & Adv.
6,045.40
4,548.11
5,992.54
4,075.30
5,044.02
5,748.35
4,937.92
5,102.06
5,303.15
11,539.25
Other Non Current Assets
362.12
607.00
1,193.45
550.46
394.45
511.59
560.07
835.43
643.17
5.89
Current Assets
20,271.81
20,530.69
16,307.15
10,867.24
11,656.89
11,048.63
10,888.42
9,384.12
9,612.37
12,363.63
Current Investments
0.00
0.00
0.00
468.48
0.00
0.00
381.47
0.00
0.00
139.28
Inventories
5,970.00
5,917.92
3,576.61
2,989.73
3,183.01
2,502.64
1,932.51
1,708.14
1,618.30
2,354.56
Sundry Debtors
9,580.27
10,679.61
7,446.53
3,501.50
4,818.31
4,363.39
3,429.56
2,750.73
2,723.46
3,209.94
Cash & Bank
1,712.13
1,102.97
2,804.03
2,024.64
1,250.17
1,425.10
2,858.54
1,420.96
1,845.73
1,558.25
Other Current Assets
3,009.41
1,515.76
1,341.08
993.20
2,405.40
2,757.50
2,286.34
3,504.29
3,424.88
5,101.60
Short Term Loans & Adv.
1,888.13
1,314.43
1,138.90
889.69
1,209.89
1,916.93
1,007.20
1,107.86
612.09
3,989.89
Net Current Assets
-1,368.73
-1,180.33
1,213.82
-1,310.02
-819.26
388.61
-297.88
85.01
-554.73
-348.82
Total Assets
1,27,404.65
1,09,277.49
99,963.75
82,642.26
76,884.24
70,467.85
62,875.49
59,664.58
59,037.58
72,823.89
|