Grasim Industries Price (GRASIM.NS)

Stock Price

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High: Year High

Market Cap

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Enterprise Value

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Shares Outstanding

660,570,757

(0.0771)%

Balance Sheet Summary

Total Assest
Total Liabilities
Total Equity
Total Investments
Total Liabilities And Total Equ...
Total debt
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Balance Sheet

Grasim Industries Limited

Currency: INR

YEAR 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Assets
Current Assets
Cash And Cash Equivalents 1.63B 2.37B 3.69B 2.90B 2.27B 2.37B 2.84B 3.25B 1.90B 1.84B 1.40B 22.30B 938.30M 9.50B 12.24B 30.73B 26.17B 22.41B 23.13B 23.88B
Short Term Investments -137,300,000.00 -127,600,000.00 0.00 0.00 0.00 0.00 0.00 50.22B 48.46B 51.35B 37.22B 32.47B 91.86B 88.54B 74.37B 121.09B 198.01B 157.27B 185.56B 246.18B
Net Receivables 0.00 10.86B 205.20M 18.68B 368.70M 0.00 2.01B 333.00M -728,800,000.00 25.09B 26.54B 30.02B 30.10B 52.03B 66.90B 214.12B 174.60B 208.07B 291.62B 1.00
Inventory 10.57B 11.65B 13.58B 17.44B 22.21B 21.83B 27.22B 30.71B 37.41B 42.57B 47.88B 46.28B 42.31B 58.60B 65.45B 68.06B 61.97B 95.36B 111.59B 135.45B
Other Current Assets 11.77B 1.31B 15.74B 3.56B 20.49B 21.17B 26.72B 31.52B 39.19B 18.74B 15.09B 12.57B 40.97B 200.26B 277.64B 86.54B 113.84B 84.56B 63.32B 458.15B
Total Current Assets 23.97B 26.19B 33.22B 42.58B 45.34B 45.38B 58.78B 116.04B 126.62B 139.74B 133.23B 150.18B 184.58B 402.49B 487.12B 523.45B 574.59B 567.58B 675.04B 863.65B
Non Current Assets
Property, Plant, and Equipment, Net 62.03B 63.26B 83.73B 127.86B 141.98B 145.36B 157.76B 174.69B 246.03B 267.16B 318.51B 342.81B 330.70B 499.50B 523.52B 616.44B 614.59B 666.00B 738.83B 935.70B
Goodwill 19.58B 17.73B 19.22B 19.68B 19.68B 20.07B 24.19B 24.96B 30.10B 32.77B 32.83B 33.74B 29.94B 161.92B 179.70B 200.47B 200.14B 200.59B 201.38B 201.54B
Intangible Assets 823.50M 768.20M 844.40M 1.31B 198.80M 163.40M 132.70M 445.40M 676.80M 1.13B 922.80M 1.32B 3.73B 76.64B 90.17B 97.66B 93.04B 89.38B 86.39B 84.31B
Long Term Investments 9.62B 15.43B 0.00 0.00 0.00 0.00 0.00 -21,683,200,000.00 -16,809,500,000.00 -24,617,400,000.00 1.17B 13.58B -19,844,400,000.00 241.78B 306.40B 320.60B 425.20B 519.71B 605.14B 838.36B
Tax Assets 29.70M 36.50M 0.00 0.00 0.00 0.00 0.00 0.00 93.50M 116.70M 187.60M 128.70M 204.40M 214.20M 469.50M 1.38B 2.05B 2.46B 3.82B 0.00
Other Non-Current Assets -1,789,100,000.00 -1,778,900,000.00 22.86B 16.89B 35.96B 66.76B 79.34B 70.89B 54.03B 61.17B 53.68B 54.61B 98.36B 696.13B 704.65B 684.17B 760.96B 848.23B 1.06T 1.20T
Total Non-Current Assets 90.29B 95.44B 126.66B 165.74B 197.83B 232.36B 261.43B 249.31B 314.12B 337.73B 407.30B 446.18B 443.09B 1.68T 1.80T 1.92T 2.10T 2.33T 2.70T 3.26T
Other Assets 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -2,600,000.00 0.00 0.00 0.00 -100,000.00 0.00 0.00
Total Assets 114.26B

+0%

121.63B

+6%

159.87B

+31%

208.33B

+30%

243.17B

+17%

277.74B

+14%

320.21B

+15%

365.34B

+14%

440.74B

+21%

477.47B

+8%

540.54B

+13%

596.35B

+10%

627.68B

+5%

2.08T

+231%

2.29T

+10%

2.44T

+7%

2.67T

+9%

2.89T

+8%

3.37T

+17%

4.13T

+22%

Liabilities
Current Liabilities
Account Payables 8.98B 11.38B 15.10B 21.27B 20.31B 17.87B 21.78B 26.35B 28.62B 32.50B 23.52B 23.96B 30.48B 50.30B 60.84B 65.83B 79.17B 113.93B 133.53B 153.57B
Short Term Debt 3.60M 5.14B 242.20M 10.91B 7.89B 25.60M 5.19B 13.35B 29.08B 26.62B 71.07B 69.61B 24.44B 262.76B 278.01B 246.83B 251.42B 266.95B 349.15B 493.66B
Tax Payables 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 7.26B 8.04B 7.51B 9.20B 11.22B 12.43B 10.18B 21.67B 29.51B
Deferred Revenue 5.49B 6.09B 5.86B 10.90B 11.80B 13.87B 13.72B 8.12B 28.42B 29.97B 35.71B 52.00B 43.35B 67.27B 99.27B 95.38B 171.11B 170.18B 148.26B 0.00
Other Current Liabilities 8.25B 7.62B 9.29B 4.61B 7.48B 21.00B 16.55B 23.92B 32.57B 24.58B 42.66B 41.78B 44.44B 98.78B 133.01B 135.12B 164.95B 179.21B 183.87B 247.59B
Total Current Liabilities 17.23B 19.66B 24.63B 36.78B 35.68B 38.89B 43.52B 63.63B 90.28B 85.58B 131.22B 150.55B 109.22B 422.92B 461.19B 466.26B 514.24B 578.84B 695.33B 924.33B
Non Current Liabilities
Long Term Debt 39.34B 31.73B 43.88B 45.17B 51.36B 51.63B 62.65B 55.34B 66.53B 76.12B 52.29B 55.43B 67.69B 407.93B 566.86B 600.94B 538.08B 478.65B 681.23B 877.78B
Deferred Revenue Non Current 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1.67B 1.92B 1.98B 2.77B 3.04B 96.40M 221.30M 551.00M 877.30M 823.30M 755.00M 107.50M 826.18B
Deferred Tax Liabilities Non-Current 11.82B 11.62B 11.53B 11.58B 15.92B 20.06B 19.62B 19.79B 23.11B 28.15B 34.29B 42.38B 35.39B 56.18B 59.85B 69.97B 84.57B 85.27B 84.43B 94.17B
Other Non-Current Liabilities 0.00 620.10M 4.85B 1.57B 7.80B 4.36B 5.18B 230.40M 23.23B 28.28B -8,582,500,000.00 3.87B 39.77B 409.06B 472.00B 6.95B 11.47B 674.70B 11.70B 13.56B
Total Non-Current Liabilities 51.16B 48.45B 60.26B 67.35B 75.08B 76.05B 87.44B 78.70B 91.68B 106.38B 101.10B 102.65B 107.56B 818.77B 999.23B 1.07T 1.13T 1.15T 1.45T 1.81T
Other Liabilities 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Capital Lease Obligations 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -1,669,300,000.00 0.00 5.93B 4.06B 21.90M 27.10M 51.20M 11.60M 15.64B 15.41B 15.58B 16.91B 20.53B
Total Liabilities 68.39B

+0%

68.11B

0%

84.89B

+25%

104.13B

+23%

110.77B

+6%

114.94B

+4%

130.97B

+14%

142.32B

+9%

181.96B

+28%

191.96B

+5%

232.32B

+21%

253.20B

+9%

216.79B

-14%

1.24T

+473%

1.46T

+18%

1.53T

+5%

1.64T

+7%

1.73T

+5%

2.14T

+24%

2.74T

+28%

Equity
Preferred Stock 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 198.20M 201.40M 515.50M 544.80M 0.00 0.00 915.61B 0.00 0.00 0.00 0.00 0.00
Common Stock 2.71B 2.71B 3.65B 4.04B 916.90M 1.28B 1.29B 419.20M 1.15B 1.16B 994.90M 968.60M 933.70M 1.31B 1.32B 1.32B 1.32B 1.32B 1.32B 1.33B
Retained Earnings 39.50B 47.01B 65.51B 89.97B 113.67B 123.83B 144.29B 0.00 7.88B 1.66B 5.53B 15.86B 32.99B 34.55B 41.47B 46.26B 60.21B 101.60B 129.80B 120.15B
Accumulated Other Comprehensive Income Loss -49,619,500,000.00 -54,513,100,000.00 -59,444,300,000.00 -62,608,000,000.00 -68,084,500,000.00 -71,359,300,000.00 -83,253,900,000.00 -94,192,600,000.00 -106,916,500,000.00 -120,745,100,000.00 -141,382,900,000.00 -162,384,000,000.00 -38,141,900,000.00 -61,117,000,000.00 -87,180,800,000.00 248.85B 322.93B 384.17B 387.61B 0.00
Other Total Stockholders Equity 48.27B 53.17B 56.68B 10.06B 69.20B 71.50B 1.06B 161.56B 534.40M 213.12B 2.38B 251.72B 318.08B -23,838,700,000.00 235.73B 270.10B 593.41B 269.90B 268.69B 765.05B
Total Stockholders Equity 40.86B 48.38B 66.40B 91.44B 115.70B 125.25B 145.73B 170.69B 196.57B 216.14B 231.40B 258.31B 313.87B 573.62B 557.73B 566.52B 654.94B 756.98B 787.42B 886.52B
Minority Interest 5.00B 5.14B 8.59B 12.76B 16.70B 37.55B 43.51B 52.33B 62.21B 69.36B 76.82B 84.84B 97.02B 263.37B 273.87B 343.35B 370.68B 404.76B 441.71B 502.86B
Total Equity 45.86B

+0%

53.51B

+17%

74.99B

+40%

104.20B

+39%

132.40B

+27%

162.79B

+23%

189.25B

+16%

223.02B

+18%

258.78B

+16%

285.50B

+10%

308.22B

+8%

343.15B

+11%

410.89B

+20%

836.99B

+104%

831.60B

-1%

909.88B

+9%

1.03T

+13%

1.16T

+13%

1.23T

+6%

1.39T

+13%

Total Liabilities And Total Equity 114.26B

+0%

121.63B

+6%

159.87B

+31%

208.33B

+30%

243.17B

+17%

277.74B

+14%

320.21B

+15%

365.34B

+14%

440.74B

+21%

477.47B

+8%

540.54B

+13%

596.35B

+10%

627.68B

+5%

2.08T

+231%

2.29T

+10%

2.44T

+7%

2.67T

+9%

2.89T

+8%

3.37T

+17%

4.13T

+22%

Additional Metrics
Total Investments 9.48B

+0%

15.30B

+61%

25.60B

+67%

19.77B

-23%

35.95B

+82%

66.76B

+86%

79.33B

+19%

28.54B

-64%

31.65B

+11%

26.73B

-16%

38.39B

+44%

46.05B

+20%

72.02B

+56%

330.32B

+359%

306.37B

-7%

320.14B

+4%

663.38B

+107%

790.04B

+19%

906.46B

+15%

1.08T

+20%

Total Debt 39.34B

+0%

36.87B

-6%

48.97B

+33%

56.08B

+15%

59.25B

+6%

56.02B

-5%

67.83B

+21%

65.51B

-3%

95.61B

+46%

96.81B

+1%

119.30B

+23%

128.41B

+8%

92.13B

-28%

670.14B

+627%

819.00B

+22%

846.51B

+3%

777.03B

-8%

745.50B

-4%

1.03T

+38%

1.37T

+33%

Net Debt 37.71B 34.49B 45.28B 53.18B 56.98B 53.65B 64.99B 62.26B 93.71B 94.97B 117.91B 106.10B 91.19B 660.64B 806.76B 815.78B 750.86B 723.09B 1.01T 1.35T
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