Prince Pipes and Fittings Limited

NSE:PRINCEPIPE.NS

318.6 (INR) • At close August 29, 2025
Overview | Financials

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

2025202420232022202120202019201820172016201520142013
Assets:
Current Assets:
Cash & Cash Equivalents 830.09761.371,214.65316.1284.420.5788.92.3127.180.450.381.4667.61
Short Term Investments 266.67378.98974.14351.3940.892,448.24134.2593.9896.595.2160.0254.630
Cash and Short Term Investments 1,096.761,156.122,188.79667.421,025.312,448.81223.1596.29123.6895.6660.456.0967.61
Net Receivables 4,229.415,859.794,171.254,419.83,349.291,929.642,599.092,398.822,392.232,397.072,127.492,045.81,725.75
Inventory 6,094.84,378.894,256.456,188.112,273.323,445.182,010.562,415.171,742.41,005.181,125.641,291.981,227.68
Other Current Assets 1,436.51,047.211,417.11991.833,017.944,864.793,239.62,921407.95433.92295.86225.57177.25
Total Current Assets 12,857.4712,465.0811,251.7712,267.169,857.198,447.445,342.15,432.464,666.263,931.833,609.393,619.443,227.52
Non-Current Assets:
Property, Plant & Equipment, Net 9,734.028,544.296,985.566,655.615,744.54,931.034,272.573,548.792,827.862,477.312,243.152,219.642,123.55
Goodwill 2.962.962.962.962.962.962.962.962.962.963.423.874.32
Intangible Assets 66.0985.4452.7823.0347.8527.1635.5541.5234.7636.3338.6545.3247.32
Goodwill and Intangible Assets 69.0588.455.7425.9950.8130.1238.5144.4837.7239.2942.0749.1951.64
Long Term Investments 2.922.352.916.8714.646.37.77-86.62-89.25-4.79-58.45-50.78.77
Tax Assets 0086.937,123.22135.760743.19859.44162.2589.2523.8600
Other Non-Current Assets 530.27112.2159-6,698.46257.86-4,967.45-0.010.220.210.1190.54110.2858.25
Total Non-Current Assets 10,336.248,767.247,290.137,123.236,203.575,654.685,062.034,366.312,938.792,601.172,341.172,328.412,242.21
Total Assets 23,193.7121,232.3218,541.919,390.3916,060.7614,102.1210,404.139,798.777,605.056,5335,950.565,947.855,469.73
Liabilities & Equity:
Current Liabilities:
Account Payables 2,610.742,491.393,201.953,985.753,143.631,807.832,001.842,013.661,035.641,012.3712.55398.86836.6
Short Term Debt 1,820.11,008.7597.991,519.28867.242,218.941,758.912,201.542,171.162,089.872,200.172,601.922,111.03
Tax Payables 00169.54148.82199.0250.71027.3900000
Deferred Revenue 073.93593.25845.62768.12287.4307.81214.92254.73142.63135.96136.520
Other Current Liabilities 1,639.231,558.11599.33803.98897.6785.38974.68504.48597.95393.53391.01317.09279.8
Total Current Liabilities 6,070.075,132.134,597.266,487.955,217.534,910.864,920.894,747.073,804.753,495.73,396.323,402.583,227.43
Non-Current Liabilities:
Long Term Debt 947.72287.7130.73013.1422.731,057.691,522.451,057.62903.53714.14883.56882.81
Deferred Revenue Non-Current 00137.700258.68238.455.1199.98041.8422.560
Deferred Tax Liabilities Non-Current 192.87190.61136.58122.8133.09133.09135.49127.49117.25109.14116.24135.560
Other Non-Current Liabilities 218.66177.84274.27126.94395.350.01238.44230.87117.26182.88254.12248.28219.41
Total Non-Current Liabilities 1,359.24656.16305249.74408.45814.511,475.571,885.911,374.861,195.551,010.11,154.41,102.22
Total Liabilities 7,429.315,788.294,902.266,737.695,625.985,725.376,396.466,632.985,179.614,691.254,406.424,556.984,329.65
Equity:
Preferred Stock 000010,330.69,543.924,808.46000000
Common Stock 1,105.611,105.611,105.611,105.611,100.261,100.26900.16900.16450.08480.08480.08480.08240.04
Retained Earnings 010,970.589,166.28,179.256,042.283,985.873,018.062,185.951,842.271,248.51951.03794.22851.66
Accumulated Other Comprehensive Income/Loss 14,658.7978.0778.0778.07104.18-1,167.16-819.29-526.78-252.52-230.91-954.33-740.0248.38
Other Total Stockholders Equity 14,658.793,289.773,289.773,289.773,188.063,290.62107.9479.6800000
Total Shareholders Equity 15,764.415,444.0313,639.6412,652.710,434.788,376.754,007.673,165.792,425.441,841.751,544.141,390.871,140.08
Total Equity 15,764.415,444.0313,639.6412,652.710,434.788,376.754,007.673,165.792,425.441,841.751,544.141,390.871,140.08
Total Liabilities & Shareholders Equity 23,193.7121,232.3218,541.919,390.3916,060.7614,102.1210,404.139,798.777,605.056,5335,950.565,947.855,469.73