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Balance Sheet of Bharat Forge (BHARATFORG)

Summary    Balance Sheet    Cash Flow    Income    Qtrly Income    Risk    Profitability    Qtrly Profit    Solvency    

Balance Sheet of Bharat Forge Ltd.

Year 31_Mar_2019 31_Mar_2018 31_Mar_2017 31_Mar_2016 31_Mar_2015 31_Mar_2014
Book Value / Share 115.47 99.91 176.82 146.62 147.95 115.26
Common Stock 93.12 93.12 46.56 46.56 46.56 46.56
Stock Holder Fund 5376.06 4651.71 4116.37 3413.22 3444.16 2683.24
Other Stock Holder Equity 169.47 184.83 215.99 217.37 478.47 308.06
Total Permanent Equity 0 0 0 0 0 0
Reserve 5282.94 4558.59 4069.81 3366.66 3397.60 2636.68
Retained Earning 4420.38 3680.67 3144.17 2439.64 2209.49 1618.98
Non Current Liabilities 2127.53 1581.41 1550.74 2014.22 2324.52 1819.46
Long Term Debt 1668.12 1113.48 1043.01 1616.19 1971.13 1515.99
Minority Interest 29.84 29.42 10.04 -4.263 -4.263 17.02
Current Liabilities 4108.81 3753.88 3206.16 2868.78 2467.23 3014.78
Accounts Payable 1366.44 1326.79 846.33 837.21 1139.13 1055.42
Defered Long term Debt 0 0 0 3.97 6.62 8.91
Other Current Liabilities 250.90 157.86 170.11 171.14 680.74 751.61
Other Liabilities 449.01 455.18 491.67 376.08 343.01 298.26
Total Liabilities 6236.34 5335.29 4756.90 4883.00 4791.75 4834.25
Property Plant Equipment 4391.58 3783.11 3620.62 3469.60 3418.79 3093.16
Goodwill 34.89 42.91 42.42 44.37 53.72 5.68
Net Tangible Assets 5312.65 4591.63 4007.02 3344.01 3371.24 2668.61
Intangible Assets 28.52 17.16 66.93 24.84 19.20 8.95
Inventory 1844.67 1359.89 1075.20 996.78 1033.89 1043.75
Cash 286.22 234.60 336.08 449.29 681.99 422.74
Other Current Assets 414.30 433.74 416.26 440.88 834.40 569.92
Current Assets 5538.90 4580.87 4220.05 4254.38 4433.15 4126.44
Non Current Assets 6103.33 5435.56 4663.26 4037.58 3802.76 3408.06
Other Assets 664.98 475.23 561.69 336.48 279.37 278.43
Total Assets 11642.23 10016.42 8883.31 8291.96 8235.91 7534.51
Short term Investment 185.46 65.86 0 0 456.65 772.14
Long term Investment 983.36 1117.14 371.61 162.29 31.68 21.85
Short Long Term Debt 249.53 540.31 796.59 427.88 176.41 2561.31
Working Capital 1430.09 826.99 1013.89 1385.60 1965.92 1111.66
Net Receivable 2267.96 2102.78 1569.34 1644.30 1426.22 1317.90


Compund Annual Growth Rate (CAGR) of Bharat Forge Ltd.

Period 1 Year 3 Year 5 Year
Stock Holder Equity 15.57 % 16.35 % 14.91 %
Reserve 15.89 % 16.21 % 14.91 %
Current Liabilities 9.46 % 12.72 % 6.39 %
Total Liabilities 16.89 % 8.50 % 5.23 %
Current Assets 20.91 % 9.19 % 6.06 %
Total Assets 16.23 % 11.98 % 9.09 %
Short Term Debt -53.817 % -16.452 % -37.233 %
Long Term Debt 49.81 % 1.06 % 1.93 %
Short Term Investment 181.60 % 0.00 -24.819 %
Long Term Investment -11.975 % 82.31 % 114.12 %
Working Capital 72.93 % 1.06 % 5.17 %
Cash 22.00 % -13.955 % -7.503 %
Inventory 35.65 % 22.77 % 12.06 %

About Financial Data , All results are consolidated, Values are in Crores, Sourced from external Vendors


(All analysis is based on End of Trade day's Value. Expected time of update is between 5 to 5.30 PM exchange time Zone)


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