HPL Electric & Power Limited

NSE:HPL.NS

578.8 (INR) • At close September 20, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012
Assets:
Current Assets:
Cash & Cash Equivalents 589.249330.542390.804340.143295.703271.71274.99674.383516.565544.321464.88524.26
Short Term Investments 468.929506.349571.873531.88300621.78300-0.00300
Cash and Short Term Investments 589.249836.891390.804340.143295.703271.712696.773674.383516.565544.321464.88524.26
Net Receivables 6,973.8886,036.8855,645.645,675.8154,672.9825,515.2285,060.8795,578.5325,739.7214,587.2093,282.062,685.32
Inventory 5,728.3374,860.2365,067.3194,429.4714,393.8774,140.7994,237.3273,775.7933,171.813,084.1622,602.332,642.1
Other Current Assets 547.969298.603250.174348.1875,524.31484.365226.1815.73715.0687.065283.24414.59
Total Current Assets 13,839.44312,032.61511,353.93710,793.61610,213.89410,012.10410,221.15910,044.4469,443.1648,222.7576,632.516,266.27
Non-Current Assets:
Property, Plant & Equipment, Net 4,709.1164,601.2714,505.4334,525.7784,755.9054,307.214,028.7263,871.5733,373.2833,067.9743,061.662,657.21
Goodwill 0000000182.930000
Intangible Assets 0066.107135.104213.672296.808226.153327.9530001.2
Goodwill and Intangible Assets 0-23.80366.107135.104213.672296.808226.153510.883-547.55001.2
Long Term Investments 25.53423.803158.71926.3695,138.8634,821.583300.20722.09540.04150.67150.67150.67
Tax Assets 107.393216.356294.342325.841340.518374.275431.863470.5597.51000
Other Non-Current Assets 60.035157.031-0.00195.617-4,969.577-4,604.0180.001-437.618563.49113.59714.8711.45
Total Non-Current Assets 4,902.0784,974.6585,024.65,108.7095,479.3815,195.8584,986.954,437.4873,936.7743,232.2413,227.22,820.53
Total Assets 18,741.52117,007.27316,378.53715,902.32515,693.27515,207.96215,208.10914,481.93213,379.93811,454.9999,859.719,086.8
Liabilities & Equity:
Current Liabilities:
Account Payables 3,048.1432,300.72,286.381,900.9391,736.6662,160.312,883.0762,651.3473,323.9552,568.111,940.122,075.01
Short Term Debt 5,340.6435,522.2155,371.7375,389.6785,376.4885,009.7834,644.0543,625.6944,627.8464,190.6993,570.533,159.72
Tax Payables 00000000125.1000
Deferred Revenue 0286.348215.565206.788-5,376.488-5,009.783090.566206.605149.91800
Other Current Liabilities 757.672105.8336.963101.4545,686.5315,285.837214.714222.10490.60834.246234.03214.24
Total Current Liabilities 9,146.4588,215.0937,910.6457,598.8597,423.1977,446.1477,741.8446,589.718,249.0166,942.9725,744.685,448.97
Non-Current Liabilities:
Long Term Debt 900.882476.835602.953487.629562.646252.314213.4262.6391,162.136953.665670.99510.89
Deferred Revenue Non-Current 000000057.65650.0815.97400
Deferred Tax Liabilities Non-Current 0000000258.39237.278185.2800
Other Non-Current Liabilities 392.997361.869202.495215.763203.903-252.314200.391145.46138.86175.116344.71309.14
Total Non-Current Liabilities 1,293.879838.704805.448703.392766.549461.814413.817464.1451,588.3541,330.0341,015.7820.03
Total Liabilities 10,440.3379,053.7978,716.0938,302.2518,189.7467,907.9618,155.6617,053.8549,837.378,273.0076,760.386,269
Equity:
Preferred Stock 00008,730.6018,241.628000000
Common Stock 643.005643.005643.005643.005643.005643.005643.005643.005464.292185.717185.72185.72
Retained Earnings 03,446.643,156.3013,094.2472,998.3012,796.2532,550.5332,392.4682,344.012,240.572,157.91,876.37
Accumulated Other Comprehensive Income/Loss 7,639.334185.447185.447185.447-864.882-577.957185.447185.447257.13000
Other Total Stockholders Equity 03,660.1353,660.1353,660.135-4,020.137-3,818.0893,660.1354,081.547477.136755.705755.71755.71
Total Shareholders Equity 8,282.3397,935.2277,644.8887,582.8347,486.8887,284.847,039.127,302.4673,542.5683,181.9923,099.332,817.8
Total Equity 8,301.1847,953.4767,662.4447,600.0747,503.5297,300.0017,052.4487,428.0783,542.5683,181.9923,099.332,817.8
Total Liabilities & Shareholders Equity 18,741.52117,007.27316,378.53715,902.32515,693.27515,207.96215,208.10914,481.93213,379.93811,454.9999,859.719,086.8