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POWER GRID CORPORATION OF INDIA
Balance Sheet

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POWER GRID CORPORATION OF INDIA Last 5 Year Balance Sheet History

[Consolidated]

Mar2026Mar2025Mar2024Mar2023Mar2022
EQUITY AND LIABILITIES
Share Capital ₹9,301 Cr₹9,301 Cr₹9,301 Cr₹6,975 Cr₹6,975 Cr
    Equity - Authorised ₹10,000 Cr₹10,000 Cr₹10,000 Cr₹10,000 Cr₹10,000 Cr
    Equity - Issued ₹9,301 Cr₹9,301 Cr₹9,301 Cr₹6,975 Cr₹6,975 Cr
    Equity Paid Up ₹9,301 Cr₹9,301 Cr₹9,301 Cr₹6,975 Cr₹6,975 Cr
    Equity Shares Forfeited -----
    Adjustments to Equity -----
    Preference Capital Paid Up -----
    Face Value ₹10.00₹10.00₹10.00₹10.00₹10.00
Share Warrants & Outstandings -----
Total Reserves ₹91,193 Cr₹83,362 Cr₹77,845 Cr₹76,051 Cr₹69,272 Cr
    Securities Premium ₹5,509 Cr₹5,509 Cr₹5,509 Cr₹7,834 Cr₹7,834 Cr
    Capital Reserves ₹9.88 Cr₹9.88 Cr₹9.88 Cr₹9.88 Cr₹9.88 Cr
    Profit & Loss Account Balance ₹4,107 Cr₹2,445 Cr₹2,153 Cr₹4,043 Cr₹4,097 Cr
    General Reserves ₹77,097 Cr₹70,907 Cr₹64,644 Cr₹58,535 Cr₹50,430 Cr
    Other Reserves ₹4,470 Cr₹4,491 Cr₹5,529 Cr₹5,628 Cr₹6,900 Cr
Reserve excluding Revaluation Reserve ₹91,193 Cr₹83,362 Cr₹77,845 Cr₹76,051 Cr₹69,272 Cr
Revaluation reserve -----
Shareholder's Funds ₹100,494 Cr₹92,663 Cr₹87,145 Cr₹83,026 Cr₹76,247 Cr
Minority Interest -----
Long-Term Borrowings -----
Secured Loans ₹44,406 Cr₹56,324 Cr₹64,316 Cr₹74,826 Cr₹81,919 Cr
    Non Convertible Debentures ₹28,169 Cr₹32,606 Cr₹39,602 Cr₹44,979 Cr₹51,058 Cr
    Converible Debentures & Bonds -----
    Packing Credit - Bank -----
    Inter Corporate & Security Deposit -----
    Term Loans - Banks ₹30,208 Cr₹31,872 Cr₹35,453 Cr₹39,350 Cr₹40,991 Cr
    Term Loans - Institutions -----
    Other Secured ₹-13,972 Cr₹-8,154 Cr₹-10,739 Cr₹-9,502 Cr₹-10,130 Cr
Unsecured Loans ₹76,666 Cr₹53,534 Cr₹40,751 Cr₹39,065 Cr₹32,280 Cr
    Fixed Deposits - Public -----
    Loans and advances from subsidiaries -----
    Inter Corporate Deposits (Unsecured) -----
    Foreign Currency Convertible Notes ----₹3,844 Cr
    Long Term Loan in Foreign Currency ₹7,266 Cr₹4,891 Cr₹4,855 Cr₹5,703 Cr₹6,219 Cr
    Loans - Banks ₹29,264 Cr₹20,663 Cr₹18,528 Cr₹20,119 Cr₹14,941 Cr
    Loans - Govt. -----
    Loans - Others -----
    Other Unsecured Loan ₹40,136 Cr₹27,981 Cr₹17,368 Cr₹13,242 Cr₹7,276 Cr
Deferred Tax Assets / Liabilities ₹6,100 Cr₹10,617 Cr₹10,237 Cr₹10,667 Cr₹11,357 Cr
    Deferred Tax Assets ₹37,057 Cr₹38,208 Cr₹36,871 Cr₹34,018 Cr₹15,087 Cr
    Deferred Tax Liability ₹43,158 Cr₹48,825 Cr₹47,108 Cr₹44,685 Cr₹26,444 Cr
Other Long Term Liabilities ₹12,409 Cr₹11,909 Cr₹12,384 Cr₹13,991 Cr₹13,308 Cr
Long Term Trade Payables -----
Long Term Provisions ₹800 Cr₹727 Cr₹644 Cr₹578 Cr₹517 Cr
Total Non-Current Liabilities ₹140,380 Cr₹133,111 Cr₹128,331 Cr₹139,127 Cr₹139,382 Cr
Current Liabilities -----
Trade Payables ₹956 Cr₹620 Cr₹371 Cr₹328 Cr₹267 Cr
    Sundry Creditors ₹956 Cr₹620 Cr₹371 Cr₹328 Cr₹267 Cr
    Acceptances -----
    Due to Subsidiaries- Trade Payables -----
Other Current Liabilities ₹42,417 Cr₹33,118 Cr₹31,448 Cr₹26,046 Cr₹28,571 Cr
    Bank Overdraft / Short term credit -----
    Advances received from customers ₹2,957 Cr₹2,906 Cr₹2,882 Cr₹3,001 Cr₹3,104 Cr
    Interest Accrued But Not Due ₹3,310 Cr₹3,089 Cr₹2,944 Cr₹2,993 Cr₹2,818 Cr
    Share Application Money -----
    Current maturity of Debentures & Bonds ₹12,140 Cr₹8,256 Cr₹8,763 Cr₹5,700 Cr₹9,904 Cr
    Current maturity - Others -----
    Other Liabilities ₹24,010 Cr₹18,868 Cr₹16,860 Cr₹14,351 Cr₹12,745 Cr
Short Term Borrowings ₹7,000 Cr₹5,709 Cr₹2,694 Cr₹2,623 Cr₹5,300 Cr
    Secured ST Loans repayable on Demands -₹209 Cr₹2,694 Cr₹1,923 Cr-
    Working Capital Loans- Sec -₹209 Cr₹2,694 Cr--
    Buyers Credits - Unsec -----
    Commercial Borrowings- Unsec -----
    Other Unsecured Loans ₹7,000 Cr₹5,291 Cr₹-2,694 Cr₹700 Cr₹5,300 Cr
Short Term Provisions ₹6,650 Cr₹7,210 Cr₹7,106 Cr₹12,275 Cr₹13,510 Cr
    Proposed Equity Dividend -----
    Provision for Corporate Dividend Tax -----
    Provision for Tax ₹5,865 Cr₹6,578 Cr₹6,280 Cr₹11,258 Cr₹12,343 Cr
    Provision for post retirement benefits ₹578 Cr₹496 Cr₹506 Cr₹533 Cr₹691 Cr
    Preference Dividend -----
    Other Provisions ₹207 Cr₹135 Cr₹320 Cr₹484 Cr₹477 Cr
Total Current Liabilities ₹57,023 Cr₹46,658 Cr₹41,619 Cr₹41,271 Cr₹47,649 Cr
Total Liabilities ₹300,500 Cr₹272,431 Cr₹257,096 Cr₹263,424 Cr₹263,277 Cr
ASSETS
Gross Block ₹301,591 Cr₹283,822 Cr₹275,991 Cr₹270,107 Cr₹262,726 Cr
Less: Accumulated Depreciation ₹125,060 Cr₹111,502 Cr₹98,230 Cr₹84,671 Cr₹70,953 Cr
Less: Impairment of Assets -----
Net Block ₹176,531 Cr₹172,320 Cr₹177,761 Cr₹185,437 Cr₹191,773 Cr
Lease Adjustment A/c -----
Capital Work in Progress ₹43,654 Cr₹33,269 Cr₹18,082 Cr₹13,741 Cr₹12,800 Cr
Non Current Investments ₹2,744 Cr₹3,117 Cr₹3,555 Cr₹3,489 Cr₹3,788 Cr
Long Term Investment ₹2,744 Cr₹3,117 Cr₹3,555 Cr₹3,489 Cr₹3,788 Cr
    Quoted ₹1,420 Cr₹1,234 Cr₹1,516 Cr₹1,774 Cr₹1,926 Cr
    Unquoted ₹1,324 Cr₹1,883 Cr₹2,039 Cr₹1,715 Cr₹1,861 Cr
Long Term Loans & Advances ₹5,856 Cr₹3,986 Cr₹2,828 Cr₹2,944 Cr₹1,079 Cr
Other Non Current Assets ₹32,181 Cr₹23,511 Cr₹21,813 Cr₹20,653 Cr₹18,830 Cr
Total Non-Current Assets ₹261,059 Cr₹236,519 Cr₹224,154 Cr₹226,295 Cr₹228,323 Cr
Current Assets Loans & Advances -----
Currents Investments ₹547 Cr-₹869 Cr₹261 Cr₹16 Cr
    Quoted ₹251 Cr-₹608 Cr--
    Unquoted ₹296 Cr-₹261 Cr₹261 Cr₹16 Cr
Inventories ₹2,126 Cr₹1,803 Cr₹1,406 Cr₹1,340 Cr₹1,357 Cr
    Raw Materials -----
    Work-in Progress -----
    Finished Goods -----
    Packing Materials -----
    Stores  and Spare ₹2,077 Cr₹1,771 Cr₹1,351 Cr₹1,313 Cr₹1,330 Cr
    Other Inventory ₹50 Cr₹31 Cr₹55 Cr₹27 Cr₹27 Cr
Sundry Debtors ₹11,673 Cr₹7,965 Cr₹11,540 Cr₹14,884 Cr₹9,189 Cr
    Debtors more than Six months ₹1,056 Cr₹1,697 Cr₹1,770 Cr₹986 Cr₹1,655 Cr
    Debtors Others ₹10,891 Cr₹6,571 Cr₹10,121 Cr₹14,195 Cr₹7,835 Cr
Cash and Bank ₹8,920 Cr₹10,077 Cr₹7,495 Cr₹7,385 Cr₹5,048 Cr
    Cash in hand -----
    Balances at Bank ₹8,920 Cr₹10,077 Cr₹7,495 Cr₹7,385 Cr₹5,048 Cr
    Other cash and bank balances ----₹0.02 Cr
Other Current Assets ₹1,670 Cr₹1,094 Cr₹1,227 Cr₹1,019 Cr₹992 Cr
    Interest accrued on Investments -----
    Interest accrued on Debentures -----
    Deposits with Government -----
    Interest accrued and or due on loans -----
    Prepaid Expenses -----
    Other current_assets ₹1,670 Cr₹1,094 Cr₹1,227 Cr₹1,019 Cr₹992 Cr
Short Term Loans and Advances ₹11,845 Cr₹14,973 Cr₹10,405 Cr₹12,241 Cr₹18,108 Cr
    Advances recoverable in cash or in kind ₹5,792 Cr₹8,398 Cr₹3,975 Cr₹893 Cr₹5,660 Cr
    Advance income tax and TDS ₹5,881 Cr₹6,413 Cr₹6,267 Cr₹11,206 Cr₹12,334 Cr
    Amounts due from directors -----
    Due From Subsidiaries -----
    Inter corporate deposits -----
    Corporate Deposits -----
    Other Loans & Advances ₹172 Cr₹162 Cr₹163 Cr₹142 Cr₹114 Cr
Total Current Assets ₹36,781 Cr₹35,912 Cr₹32,942 Cr₹37,128 Cr₹34,710 Cr
Net Current Assets (Including Current Investments) ₹-20,242 Cr₹-10,746 Cr₹-8,678 Cr₹-4,142 Cr₹-12,939 Cr
Miscellaneous Expenses not written off -----
Total Assets ₹300,500 Cr₹272,431 Cr₹257,096 Cr₹263,424 Cr₹263,277 Cr
Contingent Liabilities ₹7,373 Cr₹7,881 Cr₹4,668 Cr₹7,244 Cr₹9,677 Cr
Total Debt ₹148,009 Cr₹130,965 Cr₹123,449 Cr₹128,518 Cr₹134,665 Cr
Book Value -99.6393.70119.03109.31
Adjusted Book Value 108.0599.6393.7089.2781.98

Compare Balance Sheet of peers of POWER GRID CORPORATION OF INDIA

Peers & Returns Market Capitalization 1 Week 1 Month 1 Year
POWER GRID CORPORATION OF INDIA ₹250,511.7 Cr -0.5% -5.8% -6.3% Stock Analytics
ADANI POWER ₹397,554.0 Cr -1.2% -8.9% 79.8% Stock Analytics
NTPC ₹328,038.0 Cr -1.7% -2.8% 1.7% Stock Analytics
ADANI GREEN ENERGY ₹219,733.0 Cr -2.9% -16.9% 39.9% Stock Analytics
ADANI ENERGY SOLUTIONS ₹195,917.0 Cr -0.4% -5.2% 102.1% Stock Analytics
TATA POWER COMPANY ₹120,784.0 Cr -0.8% 0.2% -1.4% Stock Analytics


POWER GRID CORPORATION OF INDIA Share Price vs Sensex

Share Price Returns(%) 1 Week 1 Month 1 Year
POWER GRID CORPORATION OF INDIA

-0.5%

-5.8%

-6.3%

SENSEX

-0.8%

0.5%

-3.8%


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