Aavas Financiers Limited

NSE:AAVAS.NS

1654.55 (INR) • At close November 12, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) INR.

20232022202120202019201820172016201520142013
Assets:
Current Assets:
Cash & Cash Equivalents 205.581,776.477478.106220.9813,505.9391,596.6223,629.872,686.0132,349106.2123.35
Short Term Investments 17,772.63612,151.86416,119.18812,144.0429,176.8345,124.1771,952.6771.92050
Cash and Short Term Investments 17,978.21613,928.34116,597.29412,365.02312,682.7736,720.7995,582.542,686.0132,349111.2123.35
Net Receivables 122.1932,849.0332,391.2942,100.6491,814.1361,603.9231,093.635172.36112.7500
Inventory 0012,958.81710,983.4387,432.634-1,603.923411.455-172.36540.100
Other Current Assets -18,100.409-16,777.37484.93649.63159.45649,310.299114.3122,908.77527.9219.3114.19
Total Current Assets 158,280.802128,846.63232,032.34125,498.74121,988.99956,031.0987,201.9425,594.7883,029.77570.66275.75
Non-Current Assets:
Property, Plant & Equipment, Net 853.838742.054624.735548.078560.616192.296154.5486.92456.2153.8253.45
Goodwill 00000000000
Intangible Assets 418.173245.28957.89338.6145.47436.8230.0416.120.220.460.72
Goodwill and Intangible Assets 418.173245.28957.89338.6145.47436.8230.0416.120.220.460.72
Long Term Investments 5,465.835-8,016-11,862.901-11,121.482-8,202.0568.786-1,859.76-24,615.223.2800
Tax Assets 158,075.22212,151.86489,314.24174,610.81662,183.614107.49840,674.22124,543.330.2100
Other Non-Current Assets 158,251.11126.2528.59917.8163.59-107.498-8,026.97171.9213,988.17,898.893,849.3
Total Non-Current Assets 164,988.9565,249.45978,142.56764,093.83854,591.238237.90230,972.07103.04414,078.027,953.173,903.47
Total Assets 165,194.536134,096.091110,174.80789,592.57976,580.23756,269.00138,174.0125,697.83217,107.798,523.834,179.23
Liabilities & Equity:
Current Liabilities:
Account Payables 309.39486.1137.0328.54173.86495.024075.895000
Short Term Debt 123,364.957274.21111,996.61310,128.1036,582.534573.3633,633.011,087.6982,804.022,103.661,121.01
Tax Payables 456.4246.59400001.653000
Deferred Revenue -250,826.34101,561.5111,638.2541,298.915001.653000
Other Current Liabilities 127,106.99-366.745-37.466-21.019-128.599-79.269963.73-67.195391.19370.7758.32
Total Current Liabilities 309.39486.1113,601.31211,802.4188,100.578684.1424,596.741,175.5993,195.212,474.431,179.33
Non-Current Liabilities:
Long Term Debt 123,364.95798,872.78668,123.18553,649.10847,239.11235,959.14722,324.8117,569.68511,663.664,938.762,422.98
Deferred Revenue Non-Current 308.721,725.554-102.698-68.4347,113.239820.816148.08659.212187.185.20
Deferred Tax Liabilities Non-Current 602.478492.535345.75391.477175.128427.493117.59152.81722.8710.442.54
Other Non-Current Liabilities 2,875.835222.506142.952109.903-47,026.9727.2022.665.2320.770.5920.25
Total Non-Current Liabilities 127,151.99101,313.38168,509.19253,782.05847,500.50737,214.65822,593.1418,386.94611,874.45,034.992,445.77
Total Liabilities 127,461.384101,399.49182,110.50465,584.47655,601.08537,898.827,189.8819,562.54515,069.617,509.423,625.1
Equity:
Preferred Stock 18,329.24214,382.94810,846.757,788.74522,579.27219,387.6672,069.801891.49000
Common Stock 791.397790.569789.365785.046783.227781.079691.73581.636383.83329.17299.17
Retained Earnings 37,733.15214,382.94810,846.757,788.7455,471.8683,479.8741,618.561,340.423448.72198.4155.62
Accumulated Other Comprehensive Income/Loss 36,941.7553,926.7622,939.4672,093.983-267.64-182.886-101.45-52.411-26.94-14.37-4.49
Other Total Stockholders Equity -56,062.394-786.6272,641.9715,551.584-7,587.575-5,095.5336,705.4893,374.1491,232.57501.2203.83
Total Shareholders Equity 37,733.15232,696.628,064.30324,008.10320,979.15218,370.20110,984.136,135.2872,038.181,014.41554.13
Total Equity 37,733.152117,641.04592,726.79776,533.62262,833.54648,064.55132,665.12121,309.4672,038.181,014.41554.13
Total Liabilities & Shareholders Equity 165,194.536134,096.091110,174.80789,592.57976,580.23756,269.00138,174.0125,697.83217,107.798,523.834,179.23