Rama Steel Tubes Limited

NSE:RAMASTEEL.NS

11.98 (INR) • At close July 4, 2025
Overview | Financials

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

2025202420232022202120202019201820172016201520142013
Assets:
Current Assets:
Cash & Cash Equivalents 55.014174.055126.112176.522199.6272.576.38236.8676.4966.15374.54822.41621.41
Short Term Investments 00.5910.7370.7342.234-101.26-89.431-39.938-41.306096.13900
Cash and Short Term Investments 55.014174.055126.849176.522199.6272.576.38236.8676.4966.15374.54822.41621.41
Net Receivables 2,432.6612,165.7372,326.3371,056.653586.003721.499677.304381.433327.834235.362111.334175.787166.046
Inventory 1,274.1521,316.5021,970.6491,011.45728.607539.39513.518342.99514.413316.745256.173207.182164.715
Other Current Assets 2,497.5042,419.141952.743473.075175.87345.591220.74245.59105.919148.635199.18165.24990.287
Total Current Assets 6,259.3315,999.9775,375.8422,728.3031,711.2481,737.6451,479.1731,076.3621,023.998762.499641.237470.634442.715
Non-Current Assets:
Property, Plant & Equipment, Net 813.608859.051756.531584.576517.57439.245384.393379.583275.135176.737181.876150.696154.709
Goodwill 280.475280.475280.4750000000000
Intangible Assets 0.1890.1890.2410.3070.3130.0680.180.5730.9740.316000
Goodwill and Intangible Assets 280.664280.664280.7160.3070.3130.0680.180.5730.9740.316000
Long Term Investments 214.993174.608151.647193.90680.383177.195134.76460.76364.662121.60831.22128.63423.764
Tax Assets 9.9390.0055.5923.449161.91518.8496.1891.8541.568-121.924000
Other Non-Current Assets 1.20429.325378.79653.4474.1559.6540.00213.143-11.832132.645107.54596.61979.879
Total Non-Current Assets 1,320.4081,343.6531,573.28855.685764.336645.011525.528455.916330.507309.382320.642275.948258.352
Total Assets 7,579.7397,343.636,949.1223,583.9882,475.5842,382.6562,004.7011,532.2781,354.5051,071.882961.879746.582701.068
Liabilities & Equity:
Current Liabilities:
Account Payables 2,861.6342,289.6242,158.933693.227502.972592.629188.19342.932153.938130.8070.88754.38636.535
Short Term Debt 812.2341,170.3041,425.2863.777470.486650.133670.825463.125377.95402.615455.105303.21315.053
Tax Payables 04.53780.15870.60122.2220.8995.17531.36217.78616.943000
Deferred Revenue 050.586102.648128.096103.48746.84333.48652.06625.6923.8488.68900
Other Current Liabilities 86.66664.06532.66729.92722.62848.32113.9615.99430.19785.115110.31690.74276.016
Total Current Liabilities 3,760.5343,579.1163,982.4121,984.3251,164.4261,291.982915.908563.549670.765633.219583.686448.339427.603
Non-Current Liabilities:
Long Term Debt 75.939280.346319.828317.757299.771181.537206.768164.591142.688168.242168.47391.40195.837
Deferred Revenue Non-Current 00-32.6480014.7920337.2083.3890-2.74200
Deferred Tax Liabilities Non-Current 0032.6485.0123.8538.708.1286.2293.212.74200
Other Non-Current Liabilities 11.59213.3411.72910.3188.0898.70111.93116.7336.7553.2106.4888.59
Total Non-Current Liabilities 87.531293.686331.557333.087311.713205.03218.699181.324156.315171.452171.21497.89104.427
Total Liabilities 3,848.0653,872.8024,313.9692,317.4121,476.1391,497.0121,134.607744.873827.081804.671754.901546.228532.03
Equity:
Preferred Stock 0000000001010100
Common Stock 1,554.2311,544.167465.82383.9783.9783.9783.9783.9780.1784.6724.9342.4892.489
Retained Earnings 01,553.0251,077.46809.781545.247428.166439.209335.794145.4674.81224.58187.865166.548
Accumulated Other Comprehensive Income/Loss 08.042414.921155.205152.608155.888-65.331-44.584-187.571-161.257-1000
Other Total Stockholders Equity 2,088.785246.23542.946217.62217.62217.62346.915217.62305.4650-167.46400
Total Shareholders Equity 3,643.0163,351.4642,501.1481,266.576999.445885.644870.094787.405527.424267.211206.978200.354169.037
Total Equity 3,731.6743,470.8282,635.1531,266.576999.445885.644870.094787.405527.424267.211206.978200.354169.037
Total Liabilities & Shareholders Equity 7,579.7397,343.636,949.1223,583.9882,475.5842,382.6562,004.7011,532.2781,354.5051,071.882961.879746.582701.068