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TATA CHEMICALS
Balance Sheet

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TATA CHEMICALS Last 5 Year Balance Sheet History

[Consolidated]

Mar2026Mar2025Mar2024Mar2023Mar2022
EQUITY AND LIABILITIES
Share Capital ₹255 Cr₹255 Cr₹255 Cr₹255 Cr₹255 Cr
    Equity - Authorised ₹270 Cr₹270 Cr₹270 Cr₹270 Cr₹270 Cr
    Equity - Issued ₹255 Cr₹255 Cr₹255 Cr₹255 Cr₹255 Cr
    Equity Paid Up ₹255 Cr₹255 Cr₹255 Cr₹255 Cr₹255 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 ₹20,951 Cr₹21,339 Cr₹21,986 Cr₹19,466 Cr₹17,998 Cr
    Securities Premium ₹1,259 Cr₹1,259 Cr₹1,259 Cr₹1,259 Cr₹1,259 Cr
    Capital Reserves ₹327 Cr₹327 Cr₹327 Cr₹327 Cr₹327 Cr
    Profit & Loss Account Balance ₹7,248 Cr₹9,279 Cr₹9,258 Cr₹9,582 Cr₹7,616 Cr
    General Reserves ₹1,522 Cr₹1,522 Cr₹1,522 Cr₹1,522 Cr₹1,522 Cr
    Other Reserves ₹10,595 Cr₹8,952 Cr₹9,620 Cr₹6,776 Cr₹7,274 Cr
Reserve excluding Revaluation Reserve ₹20,951 Cr₹21,339 Cr₹21,986 Cr₹19,466 Cr₹17,998 Cr
Revaluation reserve -----
Shareholder's Funds ₹21,206 Cr₹21,594 Cr₹22,241 Cr₹19,721 Cr₹18,253 Cr
Minority Interest ₹969 Cr₹907 Cr₹873 Cr₹921 Cr₹904 Cr
Long-Term Borrowings -----
Secured Loans -₹1,630 Cr₹2,593 Cr₹3,336 Cr₹3,171 Cr
    Non Convertible Debentures -----
    Converible Debentures & Bonds -----
    Packing Credit - Bank -----
    Inter Corporate & Security Deposit -----
    Term Loans - Banks ₹948 Cr₹1,982 Cr₹2,772 Cr₹3,553 Cr₹4,284 Cr
    Term Loans - Institutions -----
    Other Secured ₹-948 Cr₹-352 Cr₹-179 Cr₹-217 Cr₹-1,113 Cr
Unsecured Loans ₹4,663 Cr₹2,536 Cr₹305 Cr₹2,204 Cr₹554 Cr
    Fixed Deposits - Public -----
    Loans and advances from subsidiaries -----
    Inter Corporate Deposits (Unsecured) -----
    Foreign Currency Convertible Notes -----
    Long Term Loan in Foreign Currency ---₹2,426 Cr-
    Loans - Banks ₹1,463 Cr₹835 Cr₹2,202 Cr-₹2,285 Cr
    Loans - Govt. -----
    Loans - Others ----₹5.00 Cr
    Other Unsecured Loan ₹3,200 Cr₹1,701 Cr₹-1,897 Cr₹-222 Cr₹-1,736 Cr
Deferred Tax Assets / Liabilities ₹2,897 Cr₹2,511 Cr₹2,330 Cr₹1,791 Cr₹2,037 Cr
    Deferred Tax Assets ₹246 Cr₹178 Cr₹236 Cr₹199 Cr₹56 Cr
    Deferred Tax Liability ₹3,143 Cr₹2,689 Cr₹2,566 Cr₹1,990 Cr₹2,093 Cr
Other Long Term Liabilities ₹1,138 Cr₹1,070 Cr₹849 Cr₹609 Cr₹548 Cr
Long Term Trade Payables -----
Long Term Provisions ₹1,382 Cr₹1,363 Cr₹1,465 Cr₹1,454 Cr₹1,280 Cr
Total Non-Current Liabilities ₹10,080 Cr₹9,110 Cr₹7,542 Cr₹9,394 Cr₹7,590 Cr
Current Liabilities -----
Trade Payables ₹2,552 Cr₹2,510 Cr₹2,369 Cr₹2,597 Cr₹2,445 Cr
    Sundry Creditors ₹2,125 Cr₹2,239 Cr₹2,073 Cr₹2,384 Cr₹2,445 Cr
    Acceptances ₹427 Cr₹271 Cr₹296 Cr₹213 Cr-
    Due to Subsidiaries- Trade Payables -----
Other Current Liabilities ₹2,349 Cr₹1,542 Cr₹3,332 Cr₹1,736 Cr₹3,930 Cr
    Bank Overdraft / Short term credit -----
    Advances received from customers ₹411 Cr₹371 Cr₹349 Cr₹233 Cr₹144 Cr
    Interest Accrued But Not Due ----₹20 Cr
    Share Application Money -----
    Current maturity of Debentures & Bonds -----
    Current maturity - Others -----
    Other Liabilities ₹1,938 Cr₹1,171 Cr₹2,983 Cr₹1,503 Cr₹3,766 Cr
Short Term Borrowings ₹1,502 Cr₹1,786 Cr₹88 Cr₹100 Cr₹228 Cr
    Secured ST Loans repayable on Demands ₹4.00 Cr-₹20 Cr₹100 Cr₹54 Cr
    Working Capital Loans- Sec ₹4.00 Cr-₹20 Cr₹100 Cr₹54 Cr
    Buyers Credits - Unsec -----
    Commercial Borrowings- Unsec -----
    Other Unsecured Loans ₹1,494 Cr₹1,786 Cr₹48 Cr₹-100 Cr₹120 Cr
Short Term Provisions ₹340 Cr₹301 Cr₹266 Cr₹471 Cr₹493 Cr
    Proposed Equity Dividend -----
    Provision for Corporate Dividend Tax -----
    Provision for Tax ₹13 Cr₹9.00 Cr₹33 Cr₹119 Cr₹122 Cr
    Provision for post retirement benefits ₹67 Cr₹27 Cr₹81 Cr₹76 Cr₹73 Cr
    Preference Dividend -----
    Other Provisions ₹260 Cr₹265 Cr₹152 Cr₹276 Cr₹298 Cr
Total Current Liabilities ₹6,743 Cr₹6,139 Cr₹6,055 Cr₹4,904 Cr₹7,096 Cr
Total Liabilities ₹38,998 Cr₹37,750 Cr₹36,711 Cr₹34,940 Cr₹33,843 Cr
ASSETS
Gross Block ₹29,918 Cr₹27,190 Cr₹24,341 Cr₹21,970 Cr₹20,112 Cr
Less: Accumulated Depreciation ₹9,346 Cr₹7,640 Cr₹6,532 Cr₹4,930 Cr₹4,122 Cr
Less: Impairment of Assets -----
Net Block ₹20,572 Cr₹19,550 Cr₹17,809 Cr₹17,040 Cr₹15,990 Cr
Lease Adjustment A/c -----
Capital Work in Progress ₹1,014 Cr₹1,879 Cr₹2,165 Cr₹2,351 Cr₹1,590 Cr
Non Current Investments ₹9,175 Cr₹8,339 Cr₹9,124 Cr₹6,178 Cr₹6,358 Cr
Long Term Investment ₹9,175 Cr₹8,339 Cr₹9,124 Cr₹6,178 Cr₹6,358 Cr
    Quoted ₹7,229 Cr₹6,095 Cr₹6,939 Cr₹4,364 Cr₹4,504 Cr
    Unquoted ₹1,946 Cr₹2,244 Cr₹2,185 Cr₹1,814 Cr₹1,854 Cr
Long Term Loans & Advances ₹911 Cr₹1,110 Cr₹1,043 Cr₹983 Cr₹875 Cr
Other Non Current Assets ₹66 Cr₹68 Cr₹99 Cr₹113 Cr₹153 Cr
Total Non-Current Assets ₹31,792 Cr₹31,030 Cr₹30,344 Cr₹26,776 Cr₹25,098 Cr
Current Assets Loans & Advances -----
Currents Investments ₹711 Cr₹805 Cr₹615 Cr₹1,270 Cr₹1,325 Cr
    Quoted ---₹39 Cr-
    Unquoted ₹711 Cr₹805 Cr₹615 Cr₹1,231 Cr₹1,325 Cr
Inventories ₹3,082 Cr₹2,558 Cr₹2,524 Cr₹2,532 Cr₹2,294 Cr
    Raw Materials ₹1,141 Cr₹897 Cr₹931 Cr₹1,143 Cr₹994 Cr
    Work-in Progress ₹257 Cr₹245 Cr₹195 Cr₹203 Cr₹186 Cr
    Finished Goods ₹895 Cr₹825 Cr₹996 Cr₹806 Cr₹776 Cr
    Packing Materials -----
    Stores  and Spare ₹507 Cr₹403 Cr₹328 Cr₹313 Cr₹287 Cr
    Other Inventory ₹282 Cr₹188 Cr₹74 Cr₹67 Cr₹51 Cr
Sundry Debtors ₹2,088 Cr₹1,900 Cr₹1,900 Cr₹2,627 Cr₹1,933 Cr
    Debtors more than Six months ₹139 Cr₹122 Cr₹110 Cr₹107 Cr₹95 Cr
    Debtors Others ₹2,079 Cr₹1,898 Cr₹1,898 Cr₹2,615 Cr₹1,926 Cr
Cash and Bank ₹442 Cr₹615 Cr₹645 Cr₹665 Cr₹1,311 Cr
    Cash in hand -----
    Balances at Bank ₹442 Cr₹615 Cr₹645 Cr₹665 Cr₹1,311 Cr
    Other cash and bank balances -----
Other Current Assets ₹757 Cr₹669 Cr₹591 Cr₹689 Cr₹1,832 Cr
    Interest accrued on Investments -----
    Interest accrued on Debentures -----
    Deposits with Government -----
    Interest accrued and or due on loans -----
    Prepaid Expenses ₹226 Cr₹199 Cr₹154 Cr₹119 Cr₹108 Cr
    Other current_assets ₹531 Cr₹470 Cr₹437 Cr₹570 Cr₹1,724 Cr
Short Term Loans and Advances ₹123 Cr₹173 Cr₹83 Cr₹377 Cr₹46 Cr
    Advances recoverable in cash or in kind ₹113 Cr₹136 Cr₹58 Cr₹52 Cr₹45 Cr
    Advance income tax and TDS ₹10.00 Cr₹37 Cr₹25 Cr-₹1.00 Cr
    Amounts due from directors -----
    Due From Subsidiaries -----
    Inter corporate deposits ---₹325 Cr-
    Corporate Deposits -----
    Other Loans & Advances -----
Total Current Assets ₹7,203 Cr₹6,720 Cr₹6,358 Cr₹8,160 Cr₹8,741 Cr
Net Current Assets (Including Current Investments) ₹460 Cr₹581 Cr₹303 Cr₹3,256 Cr₹1,645 Cr
Miscellaneous Expenses not written off -----
Total Assets ₹38,998 Cr₹37,750 Cr₹36,711 Cr₹34,940 Cr₹33,843 Cr
Contingent Liabilities ₹1,099 Cr₹1,189 Cr₹1,844 Cr₹1,826 Cr₹1,740 Cr
Total Debt ₹7,114 Cr₹6,304 Cr₹5,064 Cr₹6,083 Cr₹6,802 Cr
Book Value -846.82872.20773.37715.80
Adjusted Book Value 831.61846.82872.20773.37715.80

Compare Balance Sheet of peers of TATA CHEMICALS

Peers & Returns Market Capitalization 1 Week 1 Month 1 Year
TATA CHEMICALS ₹18,330.3 Cr -2% -11.9% -18.7% Stock Analytics
SOLAR INDUSTRIES INDIA ₹166,793.0 Cr 1.3% 17.1% 13.6% Stock Analytics
PIDILITE INDUSTRIES ₹150,275.0 Cr 1.4% 3.9% -5.3% Stock Analytics
SRF ₹80,180.0 Cr 0.3% -0.5% -4.6% Stock Analytics
GUJARAT FLUOROCHEMICALS ₹39,096.7 Cr -1.5% -6.6% 1.2% Stock Analytics
GODREJ INDUSTRIES ₹35,111.9 Cr -4.5% 1.9% -11.6% Stock Analytics


TATA CHEMICALS Share Price vs Sensex

Share Price Returns(%) 1 Week 1 Month 1 Year
TATA CHEMICALS

-2%

-11.9%

-18.7%

SENSEX

-0.7%

-3.6%

-9.1%


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