PSP Projects Limited

NSE:PSPPROJECT.NS

617.05 (INR) • At close November 7, 2024
Overview | Financials

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

202320222021202020192018201720162015
Assets:
Current Assets:
Cash & Cash Equivalents 2,270.941941.07880.0161,156.036413.233355.482616.2421,374.8211,120.54
Short Term Investments 6,223.3464,448.6571,094.8791,134.0381,611.6871,943.7891,840.681140.174129.82
Cash and Short Term Investments 2,270.9415,389.7271,974.8952,290.0742,024.922,299.2712,456.9231,514.9951,250.36
Net Receivables 3,456.1014,440.1915,378.0723,699.9583,906.9952,277.2411,464.625853.424421.96
Inventory 3,178.3111,531.226818.483892.091968.335750.017338.12667.80397.97
Other Current Assets 6,391.2741,460.61439.37644.58890.45488.467.74154.61351.86
Total Current Assets 15,296.62712,821.7588,210.8266,926.7116,990.7045,414.9894,267.4152,490.8351,822.15
Non-Current Assets:
Property, Plant & Equipment, Net 3,236.3292,561.4072,060.1821,565.9061,064.5341,021.479791.195527.46533
Goodwill 000000065.3810.09
Intangible Assets 10.7911.88713.53112.43414.36610.3657.2475.1533.751
Goodwill and Intangible Assets 10.7911.88713.53112.43414.36610.3657.24770.5343.25
Long Term Investments 1,561.591989.5931,429.672284.291545.258-1,677.125-1,535.166-106.617-120.61
Tax Assets 193.861129.241114.70297.31469.6459.21327.97326.41224.61
Other Non-Current Assets 68.2721,140.086874.7241,026.601944.9472,520.2872,454.373325.196265.43
Total Non-Current Assets 5,070.8434,832.2144,492.8112,986.5462,638.7451,934.2191,745.622842.985705.68
Total Assets 20,367.4717,653.98212,703.6379,913.2579,629.4497,349.2086,013.0373,333.822,527.83
Liabilities & Equity:
Current Liabilities:
Account Payables 4,200.3183,683.1562,582.0022,598.8412,168.0661,591.4091,271.189766.341821.65
Short Term Debt 4,133.9091,069.232824.762810.841757.986306.589285.563737.763457.55
Tax Payables 000.07369.28445.521103.99766.83960.51352.435
Deferred Revenue 0609.8812,146.884262.34-757.986103.997282.73230.338205.86
Other Current Liabilities 2,440.9093,879.82893.402846.5022,868.3491,641.5181,131.827498.324383.58
Total Current Liabilities 10,775.1369,242.0975,647.054,518.5245,036.4153,643.5132,971.3092,232.7661,868.64
Non-Current Liabilities:
Long Term Debt 416.992380.581171.80727.83340.3694.08716.84933.63710.41
Deferred Revenue Non-Current 000000000
Deferred Tax Liabilities Non-Current 000000000
Other Non-Current Liabilities 26.643-380.581-171.807-27.833-40.369009.3045.92
Total Non-Current Liabilities 443.635401.96186.99435.73844.354.08716.84942.94116.33
Total Liabilities 11,218.7719,644.0575,834.0444,554.2625,080.7653,647.62,988.1582,275.7071,884.97
Equity:
Preferred Stock 00005,538.8570000
Common Stock 36036036036036036036028832
Retained Earnings 7,346.2216,207.4475,067.1153,557.412,740.2871,890.8391,213.729670.515512.34
Accumulated Other Comprehensive Income/Loss 8,788.69993.6193.6192.717-903.431-640.747-421.412-312.6-245.86
Other Total Stockholders Equity -7,346.2211,348.8681,348.8681,348.868-3,193.8972,082.9791,861.806406.19339.46
Total Shareholders Equity 9,148.6998,009.9256,869.5935,358.9954,541.8163,693.0713,014.1231,052.105637.94
Total Equity 9,148.6998,009.9256,869.5935,358.9954,548.6843,701.6083,024.8791,058.113642.86
Total Liabilities & Shareholders Equity 20,367.4717,653.98212,703.6379,913.2579,629.4497,349.2086,013.0373,333.822,527.83