AKZOINDIAPaints

Akzo Nobel India LtdBalance Sheet

2844.70
+0.77%

Akzo Nobel India Ltd Balance Sheet (Annual)

Metric20252024202320222021
Ordinary Shares Number4.55 Cr4.55 Cr4.55 Cr4.55 Cr
Share Issued4.55 Cr4.55 Cr4.55 Cr4.55 Cr
Total Debt62.10 Cr60.40 Cr69.70 Cr70.50 Cr
Tangible Book Value1.33K Cr1.33K Cr1.31K Cr1.25K Cr
Invested Capital1.33K Cr1.33K Cr1.32K Cr1.26K Cr
Working Capital563.10 Cr509.20 Cr609.00 Cr586.40 Cr
Net Tangible Assets1.33K Cr1.33K Cr1.31K Cr1.25K Cr
Capital Lease Obligations62.10 Cr60.40 Cr69.70 Cr70.50 Cr
Common Stock Equity1.33K Cr1.33K Cr1.32K Cr1.26K Cr
Total Capitalization1.33K Cr1.33K Cr1.32K Cr1.26K Cr
Total Equity Gross Minority Interest1.33K Cr1.33K Cr1.32K Cr1.26K Cr
Stockholders Equity1.33K Cr1.33K Cr1.32K Cr1.26K Cr
Other Equity Interest1.28K Cr1.28K Cr1.27K Cr1.21K Cr
Fixed Assets Revaluation Reserve1.20 Cr1.20 Cr1.20 Cr1.20 Cr
Retained Earnings774.90 Cr774.60 Cr761.00 Cr704.20 Cr
Additional Paid In Capital6.40 Cr6.40 Cr6.40 Cr6.40 Cr
Capital Stock45.50 Cr45.50 Cr45.50 Cr45.50 Cr
Common Stock45.50 Cr45.50 Cr45.50 Cr45.50 Cr
Total Liabilities Net Minority Interest1.57K Cr1.57K Cr1.42K Cr1.33K Cr
Total Non Current Liabilities Net Minority Interest123.10 Cr150.50 Cr160.30 Cr148.30 Cr
Other Non Current Liabilities9.10 Cr9.10 Cr1.10 Cr1.10 Cr
Tradeand Other Payables Non Current2.90 Cr2.80 Cr1.10 Cr1.10 Cr
Non Current Deferred Revenue6.40 Cr8.30 Cr21.30 Cr23.70 Cr
Long Term Debt And Capital Lease Obligation44.80 Cr45.10 Cr53.00 Cr55.10 Cr
Long Term Capital Lease Obligation44.80 Cr45.10 Cr53.00 Cr55.10 Cr
Long Term Provisions69.00 Cr94.30 Cr84.90 Cr68.40 Cr
Current Liabilities1.45K Cr1.42K Cr1.26K Cr1.18K Cr
Other Current Liabilities258.70 Cr268.80 Cr191.90 Cr183.20 Cr
Current Debt And Capital Lease Obligation17.30 Cr15.30 Cr16.70 Cr15.40 Cr
Current Capital Lease Obligation17.30 Cr15.30 Cr16.70 Cr15.40 Cr
Current Provisions200.20 Cr200.30 Cr209.20 Cr165.40 Cr
Payables1.06K Cr1.10K Cr948.60 Cr931.00 Cr
Other Payable88.50 Cr97.30 Cr75.10 Cr75.50 Cr
Dividends Payable12.00 Cr7.80 Cr10.00 Cr10.30 Cr
Accounts Payable957.40 Cr997.60 Cr863.50 Cr845.20 Cr
Total Assets2.90K Cr2.90K Cr2.74K Cr2.59K Cr
Total Non Current Assets890.20 Cr971.20 Cr867.60 Cr821.40 Cr
Other Non Current Assets115.10 Cr122.50 Cr0.90 Cr0.90 Cr
Defined Pension Benefit5.20 Cr5.70 Cr5.20 Cr5.70 Cr
Non Current Prepaid Assets103.60 Cr108.70 Cr76.70 Cr86.50 Cr
Non Current Deferred Taxes Assets31.40 Cr32.00 Cr26.60 Cr19.60 Cr
Investmentin Financial Assets0.80 Cr0.70 Cr0.30 Cr0.70 Cr
Available For Sale Securities0.80 Cr0.70 Cr0.30 Cr0.70 Cr
Goodwill And Other Intangible Assets1.90 Cr3.00 Cr4.10 Cr5.20 Cr
Other Intangible Assets1.90 Cr3.00 Cr4.10 Cr5.20 Cr
Net PPE549.90 Cr648.10 Cr601.70 Cr565.00 Cr
Accumulated Depreciation-381.00 Cr-475.50 Cr-428.10 Cr-378.40 Cr
Gross PPE930.90 Cr1.12K Cr1.03K Cr943.40 Cr
Construction In Progress70.50 Cr125.10 Cr94.90 Cr50.00 Cr
Other Properties217.00 Cr186.20 Cr164.20 Cr157.90 Cr
Machinery Furniture Equipment334.60 Cr462.80 Cr414.70 Cr378.50 Cr
Buildings And Improvements246.30 Cr286.80 Cr293.10 Cr293.90 Cr
Land And Improvements62.50 Cr62.70 Cr62.90 Cr63.10 Cr
Properties0.000.000.000.00
Current Assets2.01K Cr1.93K Cr1.87K Cr1.77K Cr
Other Current Assets173.10 Cr199.80 Cr139.80 Cr130.40 Cr
Assets Held For Sale Current329.30 Cr0.00
Restricted Cash13.70 Cr9.70 Cr11.70 Cr10.30 Cr
Prepaid Assets142.70 Cr148.90 Cr108.60 Cr88.60 Cr
Inventory604.70 Cr611.50 Cr597.90 Cr664.40 Cr
Finished Goods367.40 Cr353.30 Cr357.30 Cr362.50 Cr
Work In Process11.60 Cr12.30 Cr13.50 Cr15.60 Cr
Raw Materials225.70 Cr245.90 Cr227.10 Cr286.30 Cr
Other Receivables8.20 Cr10.30 Cr12.30 Cr10.00 Cr
Taxes Receivable42.90 Cr62.70 Cr37.50 Cr53.20 Cr
Accounts Receivable584.90 Cr575.40 Cr552.30 Cr495.50 Cr
Allowance For Doubtful Accounts Receivable-13.00 Cr-15.70 Cr-15.00 Cr-18.70 Cr
Gross Accounts Receivable597.90 Cr591.10 Cr567.30 Cr514.20 Cr
Cash Cash Equivalents And Short Term Investments286.80 Cr514.20 Cr552.60 Cr448.20 Cr
Other Short Term Investments38.60 Cr240.50 Cr237.90 Cr303.20 Cr
Cash And Cash Equivalents248.20 Cr273.70 Cr314.70 Cr145.00 Cr
Cash Equivalents128.40 Cr140.50 Cr191.10 Cr70.20 Cr
Cash Financial119.80 Cr133.20 Cr123.60 Cr74.80 Cr
Minority Interest0.00
Hedging Assets Current0.00

All figures in ₹ Crores. Source: NSE/BSE filings via Bull Run.

Data from NSE/BSE public filings. Educational purposes only. Bull Run is not SEBI-registered. Not investment advice.