RELIANCE INFRASTRUCTURE
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RELIANCE INFRASTRUCTURE Last 5 Year Balance Sheet History
[Consolidated]
Mar2025 | Mar2024 | Mar2023 | Mar2022 | Mar2021 | |
---|---|---|---|---|---|
EQUITY AND LIABILITIES | |||||
Share Capital | ₹396 Cr | ₹396 Cr | ₹352 Cr | ₹263 Cr | ₹263 Cr |
Equity - Authorised | ₹1,950 Cr | ₹1,950 Cr | ₹1,950 Cr | ₹1,950 Cr | ₹458 Cr |
Equity - Issued | ₹399 Cr | ₹399 Cr | ₹354 Cr | ₹265 Cr | ₹265 Cr |
Equity Paid Up | ₹396 Cr | ₹396 Cr | ₹352 Cr | ₹263 Cr | ₹263 Cr |
Equity Shares Forfeited | ₹0.04 Cr | ₹0.04 Cr | ₹0.04 Cr | ₹0.04 Cr | ₹0.04 Cr |
Adjustments to Equity | - | - | - | - | - |
Preference Capital Paid Up | - | - | - | - | - |
Face Value | ₹10.00 | ₹10.00 | ₹10.00 | ₹10.00 | ₹10.00 |
Share Warrants & Outstandings | ₹754 Cr | - | - | ₹138 Cr | - |
Total Reserves | ₹13,280 Cr | ₹8,351 Cr | ₹8,942 Cr | ₹12,007 Cr | ₹10,597 Cr |
Securities Premium | ₹10,134 Cr | ₹10,134 Cr | ₹9,287 Cr | ₹8,825 Cr | ₹8,825 Cr |
Capital Reserves | ₹6,245 Cr | ₹6,245 Cr | ₹6,063 Cr | ₹6,264 Cr | ₹3,843 Cr |
Profit & Loss Account Balance | ₹-4,238 Cr | ₹-9,166 Cr | ₹-7,552 Cr | ₹-4,228 Cr | ₹-3,220 Cr |
General Reserves | ₹1,021 Cr | ₹808 Cr | ₹808 Cr | ₹808 Cr | ₹808 Cr |
Other Reserves | ₹118 Cr | ₹331 Cr | ₹337 Cr | ₹338 Cr | ₹341 Cr |
Reserve excluding Revaluation Reserve | ₹13,280 Cr | ₹8,351 Cr | ₹8,942 Cr | ₹12,007 Cr | ₹10,597 Cr |
Revaluation reserve | - | - | - | - | - |
Shareholder's Funds | ₹14,430 Cr | ₹8,747 Cr | ₹9,294 Cr | ₹12,407 Cr | ₹10,860 Cr |
Minority Interest | ₹9,383 Cr | ₹5,111 Cr | ₹4,660 Cr | ₹3,927 Cr | ₹3,775 Cr |
Long-Term Borrowings | - | - | - | - | - |
Secured Loans | ₹1,799 Cr | ₹3,037 Cr | ₹4,273 Cr | ₹5,187 Cr | ₹6,175 Cr |
Non Convertible Debentures | ₹74 Cr | ₹1,025 Cr | ₹1,051 Cr | ₹1,144 Cr | ₹1,190 Cr |
Converible Debentures & Bonds | ₹159 Cr | ₹159 Cr | ₹159 Cr | ₹159 Cr | ₹159 Cr |
Packing Credit - Bank | - | - | - | - | - |
Inter Corporate & Security Deposit | - | - | - | - | - |
Term Loans - Banks | ₹1,905 Cr | ₹2,272 Cr | ₹3,059 Cr | ₹5,349 Cr | ₹6,225 Cr |
Term Loans - Institutions | ₹1,805 Cr | ₹3,378 Cr | ₹2,860 Cr | ₹3,352 Cr | ₹3,624 Cr |
Other Secured | ₹-2,145 Cr | ₹-3,796 Cr | ₹-2,856 Cr | ₹-4,816 Cr | ₹-5,024 Cr |
Unsecured Loans | ₹135 Cr | ₹133 Cr | ₹161 Cr | ₹265 Cr | ₹298 Cr |
Fixed Deposits - Public | - | - | - | - | - |
Loans and advances from subsidiaries | - | - | - | - | - |
Inter Corporate Deposits (Unsecured) | ₹135 Cr | ₹133 Cr | ₹125 Cr | ₹120 Cr | ₹116 Cr |
Foreign Currency Convertible Notes | - | - | - | - | - |
Long Term Loan in Foreign Currency | ₹159 Cr | ₹154 Cr | ₹190 Cr | ₹179 Cr | ₹182 Cr |
Loans - Banks | - | - | - | - | - |
Loans - Govt. | - | - | - | - | - |
Loans - Others | - | - | - | - | - |
Other Unsecured Loan | ₹-159 Cr | ₹-154 Cr | ₹-153 Cr | ₹-34 Cr | - |
Deferred Tax Assets / Liabilities | ₹288 Cr | ₹304 Cr | ₹275 Cr | ₹269 Cr | ₹257 Cr |
Deferred Tax Assets | ₹1,718 Cr | ₹1,467 Cr | ₹1,448 Cr | ₹723 Cr | ₹721 Cr |
Deferred Tax Liability | ₹2,006 Cr | ₹1,771 Cr | ₹1,724 Cr | ₹991 Cr | ₹978 Cr |
Other Long Term Liabilities | ₹7,506 Cr | ₹7,079 Cr | ₹6,071 Cr | ₹5,751 Cr | ₹5,571 Cr |
Long Term Trade Payables | ₹29 Cr | ₹22 Cr | ₹19 Cr | ₹15 Cr | ₹18 Cr |
Long Term Provisions | ₹519 Cr | ₹556 Cr | ₹584 Cr | ₹619 Cr | ₹659 Cr |
Total Non-Current Liabilities | ₹10,275 Cr | ₹11,132 Cr | ₹11,384 Cr | ₹12,107 Cr | ₹12,979 Cr |
Current Liabilities | - | - | - | - | - |
Trade Payables | ₹17,033 Cr | ₹17,986 Cr | ₹17,534 Cr | ₹16,882 Cr | ₹16,468 Cr |
Sundry Creditors | ₹17,033 Cr | ₹17,986 Cr | ₹17,534 Cr | ₹16,882 Cr | ₹16,468 Cr |
Acceptances | - | - | - | - | - |
Due to Subsidiaries- Trade Payables | - | - | - | - | - |
Other Current Liabilities | ₹9,472 Cr | ₹11,197 Cr | ₹13,451 Cr | ₹12,689 Cr | ₹14,904 Cr |
Bank Overdraft / Short term credit | - | - | - | - | - |
Advances received from customers | ₹1,462 Cr | ₹1,251 Cr | ₹631 Cr | ₹614 Cr | ₹796 Cr |
Interest Accrued But Not Due | ₹2,689 Cr | ₹3,251 Cr | ₹2,849 Cr | ₹1,911 Cr | ₹1,709 Cr |
Share Application Money | - | - | - | - | - |
Current maturity of Debentures & Bonds | ₹74 Cr | ₹966 Cr | ₹984 Cr | ₹1,069 Cr | ₹1,099 Cr |
Current maturity - Others | - | - | - | - | - |
Other Liabilities | ₹5,247 Cr | ₹5,730 Cr | ₹8,987 Cr | ₹9,094 Cr | ₹11,299 Cr |
Short Term Borrowings | ₹1,971 Cr | ₹2,705 Cr | ₹2,364 Cr | ₹2,318 Cr | ₹2,306 Cr |
Secured ST Loans repayable on Demands | ₹1,276 Cr | ₹1,602 Cr | ₹1,838 Cr | ₹1,832 Cr | ₹1,836 Cr |
Working Capital Loans- Sec | ₹65 Cr | ₹199 Cr | ₹565 Cr | ₹548 Cr | ₹552 Cr |
Buyers Credits - Unsec | - | - | - | - | - |
Commercial Borrowings- Unsec | ₹437 Cr | ₹469 Cr | ₹462 Cr | ₹427 Cr | ₹412 Cr |
Other Unsecured Loans | ₹192 Cr | ₹435 Cr | ₹-502 Cr | ₹-490 Cr | ₹-494 Cr |
Short Term Provisions | ₹1,739 Cr | ₹798 Cr | ₹783 Cr | ₹702 Cr | ₹702 Cr |
Proposed Equity Dividend | - | - | - | - | - |
Provision for Corporate Dividend Tax | - | - | - | - | - |
Provision for Tax | ₹586 Cr | ₹584 Cr | ₹505 Cr | ₹468 Cr | ₹445 Cr |
Provision for post retirement benefits | - | - | - | - | - |
Preference Dividend | - | - | - | - | - |
Other Provisions | ₹1,153 Cr | ₹214 Cr | ₹278 Cr | ₹234 Cr | ₹257 Cr |
Total Current Liabilities | ₹30,215 Cr | ₹32,686 Cr | ₹34,132 Cr | ₹32,590 Cr | ₹34,380 Cr |
Total Liabilities | ₹65,841 Cr | ₹59,159 Cr | ₹60,899 Cr | ₹62,403 Cr | ₹61,994 Cr |
ASSETS | |||||
Gross Block | ₹30,226 Cr | ₹28,871 Cr | ₹29,717 Cr | ₹27,277 Cr | ₹26,578 Cr |
Less: Accumulated Depreciation | ₹12,244 Cr | ₹10,846 Cr | ₹9,694 Cr | ₹8,275 Cr | ₹7,074 Cr |
Less: Impairment of Assets | ₹268 Cr | ₹268 Cr | ₹268 Cr | - | - |
Net Block | ₹17,714 Cr | ₹17,757 Cr | ₹19,756 Cr | ₹19,002 Cr | ₹19,505 Cr |
Lease Adjustment A/c | - | - | - | - | - |
Capital Work in Progress | ₹991 Cr | ₹1,018 Cr | ₹911 Cr | ₹860 Cr | ₹875 Cr |
Non Current Investments | ₹8,650 Cr | ₹2,733 Cr | ₹3,804 Cr | ₹4,697 Cr | ₹1,768 Cr |
Long Term Investment | ₹8,650 Cr | ₹2,733 Cr | ₹3,804 Cr | ₹4,697 Cr | ₹1,768 Cr |
Quoted | ₹3,372 Cr | ₹2,689 Cr | ₹2,887 Cr | ₹3,037 Cr | ₹72 Cr |
Unquoted | ₹6,746 Cr | ₹1,512 Cr | ₹1,596 Cr | ₹2,339 Cr | ₹2,375 Cr |
Long Term Loans & Advances | ₹182 Cr | ₹191 Cr | ₹169 Cr | ₹265 Cr | ₹234 Cr |
Other Non Current Assets | ₹311 Cr | ₹269 Cr | ₹308 Cr | ₹308 Cr | ₹382 Cr |
Total Non-Current Assets | ₹28,229 Cr | ₹22,253 Cr | ₹25,052 Cr | ₹26,470 Cr | ₹23,914 Cr |
Current Assets Loans & Advances | - | - | - | - | - |
Currents Investments | ₹21 Cr | ₹1,171 Cr | ₹533 Cr | ₹2.80 Cr | ₹0.99 Cr |
Quoted | ₹11 Cr | ₹1.07 Cr | ₹6.15 Cr | ₹2.80 Cr | ₹0.99 Cr |
Unquoted | ₹10.00 Cr | ₹1,170 Cr | ₹527 Cr | - | - |
Inventories | ₹179 Cr | ₹120 Cr | ₹81 Cr | ₹66 Cr | ₹73 Cr |
Raw Materials | - | - | - | - | - |
Work-in Progress | - | - | - | - | - |
Finished Goods | - | - | - | - | - |
Packing Materials | - | - | - | - | - |
Stores  and Spare | ₹179 Cr | ₹120 Cr | ₹80 Cr | ₹66 Cr | ₹73 Cr |
Other Inventory | - | ₹0.14 Cr | ₹0.14 Cr | ₹0.14 Cr | ₹0.16 Cr |
Sundry Debtors | ₹1,532 Cr | ₹1,702 Cr | ₹2,560 Cr | ₹4,114 Cr | ₹3,926 Cr |
Debtors more than Six months | ₹2,463 Cr | ₹2,474 Cr | ₹3,281 Cr | ₹3,295 Cr | ₹3,132 Cr |
Debtors Others | ₹1,088 Cr | ₹1,209 Cr | ₹1,249 Cr | ₹1,163 Cr | ₹1,090 Cr |
Cash and Bank | ₹2,860 Cr | ₹2,081 Cr | ₹1,376 Cr | ₹1,241 Cr | ₹926 Cr |
Cash in hand | ₹2.10 Cr | ₹2.13 Cr | ₹2.19 Cr | ₹2.09 Cr | ₹2.67 Cr |
Balances at Bank | ₹2,841 Cr | ₹2,054 Cr | ₹1,355 Cr | ₹1,160 Cr | ₹826 Cr |
Other cash and bank balances | ₹17 Cr | ₹25 Cr | ₹20 Cr | ₹79 Cr | ₹98 Cr |
Other Current Assets | ₹874 Cr | ₹1,978 Cr | ₹1,903 Cr | ₹2,356 Cr | ₹5,981 Cr |
Interest accrued on Investments | - | - | - | - | - |
Interest accrued on Debentures | - | - | - | - | - |
Deposits with Government | - | - | - | - | - |
Interest accrued and or due on loans | ₹76 Cr | ₹1,480 Cr | ₹1,589 Cr | ₹1,629 Cr | ₹1,729 Cr |
Prepaid Expenses | ₹78 Cr | ₹77 Cr | - | - | - |
Other current_assets | ₹720 Cr | ₹421 Cr | ₹314 Cr | ₹726 Cr | ₹4,252 Cr |
Short Term Loans and Advances | ₹1,016 Cr | ₹5,205 Cr | ₹5,509 Cr | ₹5,810 Cr | ₹6,780 Cr |
Advances recoverable in cash or in kind | ₹445 Cr | ₹556 Cr | ₹983 Cr | ₹1,112 Cr | ₹1,512 Cr |
Advance income tax and TDS | - | - | - | - | ₹26 Cr |
Amounts due from directors | - | - | - | - | - |
Due From Subsidiaries | - | - | - | - | - |
Inter corporate deposits | ₹285 Cr | ₹8,399 Cr | ₹8,339 Cr | ₹8,501 Cr | ₹9,043 Cr |
Corporate Deposits | - | - | - | - | - |
Other Loans & Advances | ₹286 Cr | ₹-3,750 Cr | ₹-3,813 Cr | ₹-3,803 Cr | ₹-3,802 Cr |
Total Current Assets | ₹6,481 Cr | ₹12,258 Cr | ₹11,962 Cr | ₹13,590 Cr | ₹17,686 Cr |
Net Current Assets (Including Current Investments) | ₹-23,735 Cr | ₹-20,428 Cr | ₹-22,170 Cr | ₹-19,001 Cr | ₹-16,694 Cr |
Miscellaneous Expenses not written off | ₹29,768 Cr | ₹23,340 Cr | ₹22,629 Cr | ₹20,600 Cr | ₹20,395 Cr |
Total Assets | ₹65,841 Cr | ₹59,159 Cr | ₹60,899 Cr | ₹62,403 Cr | ₹61,994 Cr |
Contingent Liabilities | ₹1,963 Cr | ₹3,237 Cr | ₹4,245 Cr | ₹4,017 Cr | ₹3,859 Cr |
Total Debt | ₹6,293 Cr | ₹9,825 Cr | ₹11,448 Cr | ₹12,647 Cr | ₹13,830 Cr |
Book Value | -406.23 | -368.38 | -379.08 | -316.77 | -362.53 |
Adjusted Book Value | -406.23 | -368.38 | -379.08 | -316.77 | -362.53 |
Compare Balance Sheet of peers of RELIANCE INFRASTRUCTURE
Peers & Returns | Market Capitalization | 1 Week | 1 Month | 1 Year | ||
RELIANCE INFRASTRUCTURE | ₹13,385.7 Cr | -9% | -19.3% | 70.7% | Stock Analytics | |
NTPC | ₹328,620.0 Cr | 0% | 1.9% | -15.1% | Stock Analytics | |
POWER GRID CORPORATION OF INDIA | ₹268,880.0 Cr | -3.4% | -2.9% | -14.4% | Stock Analytics | |
ADANI POWER | ₹227,386.0 Cr | 0.7% | -0.3% | -17.3% | Stock Analytics | |
ADANI GREEN ENERGY | ₹166,357.0 Cr | -1.1% | -0.6% | -44.7% | Stock Analytics | |
TATA POWER COMPANY | ₹128,197.0 Cr | 0.2% | -1.3% | -9.6% | Stock Analytics |
RELIANCE INFRASTRUCTURE Share Price vs Sensex
Share Price Returns(%) | 1 Week | 1 Month | 1 Year |
RELIANCE INFRASTRUCTURE | -9% |
-19.3% |
70.7% |
SENSEX | -1.5% |
-2.5% |
0.2% |
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