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Balance Sheet of Rain Industries (RAIN)

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

Balance Sheet of Rain Industries Ltd.

Year 31_Dec_2019 31_Dec_2018 31_Dec_2017 31_Dec_2016 31_Dec_2015 31_Dec_2014 31_Dec_2013
Book Value / Share 0 137.44 117.26 89.62 87.34 87.58 95.83
Common Stock 67.27 67.27 67.27 67.27 67.27 67.27 67.27
Stock Holder Fund 4959.90 4622.74 3944.10 3014.35 2937.50 2945.78 3223.31
Other Stock Holder Equity 4892.64 50.91 -113.37 -162.96 -56.96 220.57 552.99
Total Permanent Equity 0 0 0 0 0 0 0
Reserve 4892.64 4555.47 3876.83 2947.08 2870.23 2878.51 3156.04
Retained Earning 0 4310.36 3802.05 2926.30 2875.52 2606.28 2551.38
Non Current Liabilities 8881.60 8413.37 4980.59 8143.17 8315.86 8443.75 8737.69
Long Term Debt 7355.55 7221.28 3707.28 6933.94 7079.18 7100.13 7363.35
Minority Interest 195.47 143.32 101.32 70.50 2.42 21.63 41.62
Current Liabilities 2190.76 2570.03 5524.29 1798.85 2067.22 2143.97 2623.81
Accounts Payable 789.61 1347.63 1151.16 783.07 1022.79 1000.78 1257.49
Defered Long term Debt 0 0 0 0 0 0 0
Other Current Liabilities 766.40 322.08 90.66 194.46 302.10 322.94 214.74
Other Liabilities 1526.05 1171.35 1240.87 1200.46 1183.55 1275.93 1286.86
Total Liabilities 11072.36 10983.39 10504.88 9942.02 10383.09 10587.72 11361.50
Property Plant Equipment 4600.52 3893.77 3345.32 3376.74 3219.31 3157.10 3263.74
Goodwill 6221.69 6131.53 5762.25 5828.61 5716.01 5795.18 6211.59
Net Tangible Assets -1293.69 -1539.28 -1841.48 -2607.11 -2793.81 -2877.97 -3047.35
Intangible Assets 31.90 30.49 23.34 13.79 15.30 28.57 59.06
Inventory 1742.16 2368.33 1998.53 1267.81 1620.99 1533.72 2000.18
Cash 1168.98 851.24 941.59 921.21 860.46 899.51 844.69
Other Current Assets 197.81 191.49 313.49 0.315 217.35 213.42 209.29
Current Assets 4372.70 5173.00 4954.51 3586.30 3932.10 4105.09 4802.59
Non Current Assets 11855.04 10576.46 9595.79 9441.63 9390.90 9450.05 9823.83
Other Assets 986.62 507.02 428.82 334.21 434.40 462.36 281.89
Total Assets 16227.74 15749.46 14550.31 13027.92 13323.00 13555.13 14626.42
Short term Investment 130.21 45.23 1.00 101.13 13.56 19.54 6.50
Long term Investment 14.30 13.65 33.80 34.26 5.88 6.83 7.55
Short Long Term Debt 0 537.47 3592.59 473.70 193.36 150.54 8290.54
Working Capital 2181.94 2602.97 -569.78 1787.45 1864.88 1961.11 2178.78
Net Receivable 1133.53 1604.40 1687.26 1063.72 1202.52 1410.39 1710.14


Compund Annual Growth Rate (CAGR) of Rain Industries Ltd.

Period 1 Year 3 Year 5 Year
Stock Holder Equity 7.29 % 18.06 % 10.98 %
Reserve 7.40 % 18.41 % 11.19 %
Current Liabilities -14.76 % 6.79 % 0.433 %
Total Liabilities 0.810 % 3.65 % 0.899 %
Current Assets -15.47 % 6.83 % 1.27 %
Total Assets 3.04 % 7.60 % 3.66 %
Short Term Debt 0.00 0.00 0.00
Long Term Debt 1.86 % 1.99 % 0.709 %
Short Term Investment 187.88 % 8.79 % 46.13 %
Long Term Investment 4.76 % -25.27 % 15.93 %
Working Capital -16.17 % 6.87 % 2.16 %
Cash 37.33 % 8.26 % 5.38 %
Inventory -26.44 % 11.18 % 2.58 %

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


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