WELHousehold Appliances

Wonder Electricals LtdBalance Sheet

95.94
-7.70%

Wonder Electricals Ltd Balance Sheet (Annual)

Metric20252024202320222021
Net Tangible Assets85.55 Cr72.68 Cr59.62 Cr53.54 Cr
Capital Lease Obligations2.98 Cr0.48 Cr0.81 Cr1.09 Cr
Common Stock Equity80.81 Cr67.94 Cr59.62 Cr53.54 Cr
Preferred Stock Equity19.93 Cr19.93 Cr
Total Capitalization110.77 Cr94.52 Cr65.05 Cr55.39 Cr
Total Equity Gross Minority Interest100.73 Cr87.87 Cr59.62 Cr53.54 Cr
Stockholders Equity100.73 Cr87.87 Cr59.62 Cr53.54 Cr
Other Equity Interest67.41 Cr-5.33 Cr-0.22 Cr-1.18 Cr
Capital Stock33.33 Cr33.33 Cr13.40 Cr13.40 Cr
Common Stock13.40 Cr13.40 Cr13.40 Cr13.40 Cr
Preferred Stock19.93 Cr19.93 Cr0.000.00
Total Liabilities Net Minority Interest309.55 Cr264.61 Cr173.25 Cr171.35 Cr
Total Non Current Liabilities Net Minority Interest13.01 Cr7.13 Cr6.25 Cr2.93 Cr
Other Non Current Liabilities-1000.00-2000.003000.00-1000.00
Long Term Debt And Capital Lease Obligation13.01 Cr7.13 Cr6.24 Cr2.93 Cr
Long Term Capital Lease Obligation2.98 Cr0.48 Cr0.81 Cr1.09 Cr
Long Term Debt10.04 Cr6.65 Cr5.44 Cr1.84 Cr
Current Liabilities296.54 Cr257.48 Cr167.01 Cr168.42 Cr
Other Current Liabilities0.14 Cr0.42 Cr0.52 Cr1.78 Cr
Current Debt And Capital Lease Obligation86.18 Cr57.45 Cr18.78 Cr18.87 Cr
Current Debt86.18 Cr57.45 Cr18.78 Cr18.87 Cr
Current Provisions20.03 Cr13.16 Cr6.45 Cr5.89 Cr
Payables190.18 Cr195.25 Cr144.99 Cr146.66 Cr
Accounts Payable190.18 Cr186.45 Cr141.26 Cr143.54 Cr
Total Assets410.28 Cr352.48 Cr232.87 Cr224.89 Cr
Total Non Current Assets61.00 Cr55.16 Cr34.20 Cr34.39 Cr
Other Non Current Assets0.13 Cr0.25 Cr0.38 Cr0.50 Cr
Non Current Deferred Taxes Assets0.13 Cr0.31 Cr0.31 Cr0.20 Cr
Goodwill And Other Intangible Assets15.19 Cr15.19 Cr0.000.00
Net PPE45.56 Cr39.42 Cr33.51 Cr33.69 Cr
Gross PPE45.56 Cr73.56 Cr61.85 Cr33.69 Cr
Other Properties45.56 Cr1.54 Cr1.54 Cr33.69 Cr
Current Assets349.29 Cr297.32 Cr198.67 Cr190.50 Cr
Other Current Assets12.40 Cr0.10 Cr0.10 Cr0.08 Cr
Inventory58.61 Cr63.25 Cr37.08 Cr32.21 Cr
Other Receivables3.68 Cr0.01 Cr1.46 Cr1.10 Cr
Accounts Receivable274.19 Cr220.72 Cr156.42 Cr151.66 Cr
Cash Cash Equivalents And Short Term Investments0.41 Cr4.37 Cr0.31 Cr0.19 Cr
Cash And Cash Equivalents0.41 Cr4.37 Cr0.31 Cr0.19 Cr
Working Capital52.75 Cr39.84 Cr31.66 Cr22.08 Cr
Ordinary Shares Number13.40 Cr13.40 Cr13.40 Cr13.40 Cr
Share Issued13.40 Cr13.40 Cr13.40 Cr13.40 Cr
Net Debt95.81 Cr59.74 Cr23.91 Cr20.53 Cr
Total Debt99.20 Cr64.58 Cr25.03 Cr21.80 Cr
Tangible Book Value65.62 Cr52.76 Cr59.62 Cr53.54 Cr
Invested Capital177.03 Cr132.05 Cr83.84 Cr74.26 Cr
Goodwill15.19 Cr15.19 Cr0.000.00
Retained Earnings45.23 Cr35.30 Cr30.18 Cr22.85 Cr
Additional Paid In Capital14.64 Cr11.14 Cr11.14 Cr16.16 Cr
Current Deferred Taxes Liabilities4.36 Cr2.71 Cr2.77 Cr1.44 Cr
Other Payable8.80 Cr3.74 Cr3.12 Cr3.62 Cr
Accumulated Depreciation-34.14 Cr-28.34 Cr-23.36 Cr-18.14 Cr
Machinery Furniture Equipment48.47 Cr38.20 Cr33.77 Cr30.98 Cr
Buildings And Improvements19.13 Cr17.68 Cr17.32 Cr16.18 Cr
Land And Improvements4.42 Cr4.42 Cr4.42 Cr4.30 Cr
Properties0.000.000.000.00
Prepaid Assets8.86 Cr4.75 Cr6.37 Cr6.95 Cr
Other Inventories8.03 Cr4.95 Cr3.66 Cr3.35 Cr
Finished Goods11.79 Cr8.15 Cr8.71 Cr6.78 Cr
Work In Process6.67 Cr2.30 Cr3.31 Cr3.77 Cr
Raw Materials36.77 Cr21.68 Cr16.53 Cr17.50 Cr
Cash Equivalents10000.0010000.0010000.0010000.00
Cash Financial4.37 Cr0.31 Cr0.19 Cr0.17 Cr
Taxes Receivable0.000.002.71 Cr
Non Current Deferred Taxes Liabilities0.000.00
Construction In Progress0.00

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.