TeamLease Services Limited

NSE:TEAMLEASE.NS

2990.25 (INR) • At close October 17, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012
Assets:
Current Assets:
Cash & Cash Equivalents 4,214.11,494.5041,765.4792,591.176642.407607.611729.299246.995495.887218.49847.25779.88
Short Term Investments 3,5363,784.3041,375.0681,032.4559.522878.0611,018.1921,448.9732,093.85928.50400
Cash and Short Term Investments 4,214.15,278.8083,140.5473,623.626701.9291,485.6721,747.4911,695.9692,589.7371,146.994847.25779.88
Net Receivables 6,660.35,530.0735,419.7934,114.8754,051.1073,530.432,766.7272,648.422,051.2611,145.998751.74812.76
Inventory 0-168.6841,323.623601.49907.974553.724-323.1521.5852.3442.1722.455.31
Other Current Assets 1,368.7340.1291.8645.92412.91917.0612.258120.98877.3375.688323.45133.72
Total Current Assets 12,243.110,980.3269,885.8278,345.9155,673.9295,586.8874,862.6944,466.9614,720.6722,370.8521,924.891,731.67
Non-Current Assets:
Property, Plant & Equipment, Net 801.9877.992401.428317.809535.30893.14854.26527.22817.65214.91552.0165.82
Goodwill 1,732.71,732.6661,732.6661,773.7941,648.3451,256.7921,127.512952.05523.51523.51523.5223.52
Intangible Assets 506.1591.742665.933608.12577.135227.734195.91850.2170.05956.13531.5418.1
Goodwill and Intangible Assets 2,238.82,324.4082,398.5992,381.9142,225.481,484.5261,323.431,002.26693.57579.65155.0641.62
Long Term Investments 1,312.6-2,622.353-1,205.742-1,283.406-251.983-963.819-915.973-1,427.785-2,053.305-917.3885.210.26
Tax Assets 80.167.51525.86249.595144.245653.134399.219149.35345.38857.19900
Other Non-Current Assets 2,692.26,049.9573,898.0943,296.1024,225.5724,041.5583,136.9472,705.0732,961.8521,520.661395.66402.92
Total Non-Current Assets 7,125.66,697.5195,518.2414,762.0146,878.6225,308.5473,997.8882,456.1351,065.161755.038507.94510.62
Total Assets 19,368.717,677.84515,404.06813,107.92912,552.55110,895.4348,860.5826,923.0965,785.8343,125.892,432.832,242.29
Liabilities & Equity:
Current Liabilities:
Account Payables 616.6447.898419.186287.808378.233279.837176.08399.70488.09868.92771.8711.63
Short Term Debt 525395.784380.50683.658914.494106.31172.86910.991193.616134.27558.7125.67
Tax Payables 01,259.9651,024.005785.23800011.2230000
Deferred Revenue 102.84,041.975,649.5764,720.1654,092.1164,024.5493,431.0482,086.3061,773.384-134.27500
Other Current Liabilities 8,095.62,680.398471.5386.456354.984433.028277.794490.545282.6661,340.78926.08949.86
Total Current Liabilities 9,3407,566.056,920.7685,478.0875,739.8274,843.7253,957.7942,687.5462,337.7641,409.7071,056.651,087.16
Non-Current Liabilities:
Long Term Debt 523.1605.416217.821144.831322.2450000000.35
Deferred Revenue Non-Current 01,221.5161,136.783000000000
Deferred Tax Liabilities Non-Current 18.937.86328.51000000000
Other Non-Current Liabilities 1,374.242.1942.19924.722769.596660.551486.116424.255332.291228.0170144.97
Total Non-Current Liabilities 1,916.21,906.9851,425.3041,069.5531,091.841660.551486.116424.255332.291228.0170145.32
Total Liabilities 11,256.29,473.0358,346.0726,547.646,831.6685,504.2764,443.913,111.82,670.0551,637.7231,056.651,232.48
Equity:
Preferred Stock 000000000000
Common Stock 167.7170.968170.968170.968170.968170.968170.968170.968170.9685.1115.115.11
Retained Earnings 6,294.15,375.5344,248.9113,864.9983,072.1132,768.8761,796.3021,243.055579.616331.62631.84-528.99
Accumulated Other Comprehensive Income/Loss 7,812.540.93335.78418.79-223.728-55.653-26.731-113.755-96.315-86.0170-0
Other Total Stockholders Equity -6,294.12,488.8122,476.4292,465.5012,701.532,506.9672,476.1332,511.0282,461.511,237.4471,151.431,533.69
Total Shareholders Equity 7,980.28,076.2476,932.0926,520.2575,720.8835,391.1584,416.6723,811.2953,115.7781,488.1671,188.381,009.81
Total Equity 8,112.58,204.817,057.9966,560.2895,720.8835,391.1584,416.6723,811.2953,115.7781,488.1671,188.381,009.81
Total Liabilities & Shareholders Equity 19,368.717,677.84515,404.06813,107.92912,552.55110,895.4348,860.5826,923.0965,785.8343,125.892,245.032,242.29