Shankara Building Products Limited

NSE:SHANKARA.NS

537.45 (INR) • At close November 5, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011
Assets:
Current Assets:
Cash & Cash Equivalents 34458.724.8109.04134.96491.37812.341662.12823.7223.5627.5319.9725.52
Short Term Investments 7474.251.651.110045.211000000
Cash and Short Term Investments 344132.924.8109.04134.96491.37857.552662.12823.7223.5627.5319.9725.52
Net Receivables 6,861.15,118.33,593.53,001.9654,557.7863,641.1034,462.1013,252.3152,925.152,713.152,644.912,666.12,268.71
Inventory 4,847.64,253.53,723.33,160.8194,004.4813,829.4574,157.092,794.5352,558.772,320.682,212.261,849.281,295.53
Other Current Assets 656.6401.9321.6246.06454.65193.377244.380.8890.750.381.0788.337.82
Total Current Assets 12,709.39,906.67,663.26,517.8888,751.8827,655.3158,921.1216,709.8685,508.395,057.774,885.774,623.653,627.58
Non-Current Assets:
Property, Plant & Equipment, Net 2,711.62,594.92,370.12,370.7622,578.0042,305.6892,750.9662,449.7562,192.851,906.311,601.81,335.831,072.58
Goodwill 140.4140.4140.4140.403140.403140.403140.403140.403140.403140.4149.640.320
Intangible Assets 28.913.3140.4140.40328.64666.133103.5180140.4030000
Goodwill and Intangible Assets 169.3153.7140.4140.403169.049206.536243.92140.403140.4140.4149.640.3221.18
Long Term Investments 206.830.144218.381236.991258.32131.96824.379126.82123.18109.1500
Tax Assets 0.1199.1169.737.35236.13926.60836.7426.8970.031.228.8900
Other Non-Current Assets 58.331.121.4-26.801-26.049667.081142.819129.83723.3725.0711.4991.5976.84
Total Non-Current Assets 3,146.13,008.92,745.62,740.0972,994.1343,464.2353,206.4132,771.2712,483.472,196.181,880.931,467.741,170.6
Total Assets 15,855.412,917.510,407.89,257.98511,746.01611,119.54912,127.5359,481.1397,991.867,253.956,766.76,091.394,798.18
Liabilities & Equity:
Current Liabilities:
Account Payables 6,5055,202.93,186.92,055.5173,603.4733,814.4574,612.22,610.07950.4551.7366.8925.0128.6
Short Term Debt 706.6564873.61,147.1022,419.8341,949.6912,470.122,176.7352,174.142,867.812,782.532,638.222,033.76
Tax Payables 4859.732.138.80318.89623.09680.896140.334142.4330000
Deferred Revenue 48180.7134.7121.14198.778266.258289.973140.3342,572.011,530.831,348.951,172.51816.88
Other Current Liabilities 372.1135.5128113.47613.35863.46813.575387.8595.89100.1492.3883.4546.21
Total Current Liabilities 7,631.76,083.14,323.23,437.2356,235.4436,093.8747,385.8685,314.9984,892.494,550.514,290.753,919.192,925.45
Non-Current Liabilities:
Long Term Debt 144314.4455.5544.368363.51224.3828.51259.33952.6465.6157.96115.83191.27
Deferred Revenue Non-Current 15.91.21.10.7250.7250.2250.158.16.456.151.0411
Deferred Tax Liabilities Non-Current 87.287.968.458.9669.328206.497169.432161.173130.5698.4282.975631.45
Other Non-Current Liabilities 0.90002.1713.4865.9340.150.150.640.560.550.79
Total Non-Current Liabilities 248403.5525604.053435.736234.59184.028228.762189.8170.82142.53173.38224.51
Total Liabilities 7,879.76,486.64,848.24,041.2886,671.1796,328.4647,569.8965,543.765,082.294,721.334,433.284,092.573,149.96
Equity:
Preferred Stock 00005,743.9665,129.3140000000
Common Stock 242.5228.5228.5228.493228.493228.493228.493228.493218.71218.71218.71211.7203.14
Retained Earnings 5,5654,810.84,201.63,858.0573,714.4023,439.4813,202.6392,577.9851,973.41,596.51,397.031,135.67841.84
Accumulated Other Comprehensive Income/Loss 7,733.2278.816.717.313-656.771-325.871-239.95-555.023-453.74-360.04-275.69-180.58-135.73
Other Total Stockholders Equity -5,5651,112.81,112.81,112.834-3,955.253-3,681.0031,365.8441,685.4561,170.851,077.18993.15831.84705.48
Total Shareholders Equity 7,975.76,430.95,559.65,216.6975,074.8374,790.4144,557.0273,936.9122,909.222,532.352,333.21,998.631,614.73
Total Equity 7,975.76,430.95,559.65,216.6975,074.8374,791.0854,557.6393,937.3792,909.572,532.622,333.421,998.821,648.22
Total Liabilities & Shareholders Equity 15,855.412,917.510,407.89,257.98511,746.01611,119.54912,127.5359,481.1397,991.867,253.956,766.76,091.394,798.18