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Balance Sheet of Housing Development Finance Corporation (HDFC)

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

Balance Sheet of Housing Development Finance Corporation Ltd.

Year 31_Mar_2019 31_Mar_2018 31_Dec_2017 31_Mar_2017 31_Dec_2016 31_Mar_2016 31_Dec_2015 31_Mar_2015 31_Dec_2014 31_Mar_2014 31_Mar_2013 31_Mar_2012 31_Mar_2011 31_Mar_2010 31_Mar_2009 31_Mar_2008 31_Mar_2007 31_Mar_2006 31_Mar_2005 31_Mar_2004 31_Mar_2003
Book Value / Share 649.06 548.20 7739.10 378.05 7605.00 322.19 7518.20 286.22 -51.64 240.79 207.33 165.37 144.46 126.66 97.34 90.14 51.03 39.47 33.96 29.78 26.63
Common Stock 344.29 335.18 2.00 317.73 2.00 315.97 2.00 314.94 -274.60 312.10 309.27 295.39 293.37 287.11 284.45 284.03 253.00 249.60 249.10 246.60 244.40
Stock Holder Fund 111.73 K 91873.26 7739.10 60059.31 7605.00 50900.68 7518.20 45071.63 7090.00 37574.61 32060.35 24423.98 21190.12 18182.23 13843.74 12801.40 6454.88 4925.50 4229.80 3672.20 3253.90
Other Stock Holder Equity 1166.89 871.59 -306.00 165.74 -264.30 202.56 -165.60 175.86 -124.80 74.96 0 0 0 0 0 0 0 0 0 0 0
Total Permanent Equity 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Reserve 111.39 K 91538.08 7737.10 59741.58 7603.00 50584.71 7516.20 44756.69 7364.60 37262.51 31751.08 24128.59 20896.75 17895.12 13559.29 12517.37 6201.88 4675.90 3980.70 3425.60 3009.50
Retained Earning 78813.54 65829.81 5757.70 49268.62 5367.90 40251.59 4920.40 34265.39 4462.50 27140.21 21806.83 17617.19 14219.62 8160.62 4774.17 4186.39 3079.87 0 0 0 0
Non Current Liabilities 327.51 K 299.63 K 77434.20 201.72 K 73889.90 150.28 K 71228.30 134.56 K 73061.00 119.79 K 218.82 K 187.36 K 153.93 K 125.22 K 101.78 K 83857.13 66716.54 52879.90 40610.00 31537.30 25651.10
Long Term Debt 187.46 K 180.60 K 32387.70 120.25 K 29391.00 84726.00 28222.30 75672.41 26015.30 71226.65 69407.75 57521.86 86408.44 66763.86 59019.99 57044.32 45454.73 41399.60 29574.50 19763.60 14490.90
Minority Interest 6245.38 4994.30 107.50 3472.57 112.70 2325.97 100.20 482.72 120.40 454.89 341.80 207.78 84.85 0 0 10.75 7.04 0 0 0 6.50
Current Liabilities 215.38 K 170.11 K 0 208.89 K 0 194.30 K 0 168.07 K 0 138.45 K 0 0 0 0 0 0 0 0 0 0 0
Accounts Payable 109.96 K 95302.86 38302.00 93180.40 38102.60 78886.84 37325.20 2984.85 36213.80 2803.27 2169.27 1656.61 0 0 1239.22 634.58 491.59 0 0 0 0
Defered Long term Debt 0 0 0 0 0 0 0 0 0 2.24 0 0 0 0 0 0 0 0 0 0 0
Other Current Liabilities 662.74 768.33 15943.60 19570.85 15586.30 18620.49 15603.40 16181.02 13354.40 9619.88 0 0 0 0 0 0 0 0 0 0 0
Other Liabilities 140.06 K 119.04 K 4202.00 81468.53 4285.80 65549.72 4753.30 81411.86 5674.50 63905.64 52491.26 42723.90 35600.39 26789.20 14617.97 12325.48 7649.60 1447.60 1663.00 1784.30 1486.20
Total Liabilities 542.90 K 469.74 K 77434.20 410.61 K 73889.90 344.58 K 71228.30 302.63 K 73061.00 258.24 K 218.82 K 187.36 K 153.93 K 125.22 K 101.78 K 83857.13 66716.54 52879.90 40610.00 31537.30 25651.10
Property Plant Equipment 1208.43 1172.64 0 1246.51 0 1319.14 0 1208.77 610.80 767.17 643.54 618.24 567.56 366.04 391.54 372.28 397.13 523.80 596.40 647.80 481.90
Goodwill 631.50 631.50 659.70 626.08 657.70 194.68 658.40 195.56 658.80 185.64 185.13 192.50 207.42 215.04 274.84 271.98 186.18 69.10 69.10 0 0
Net Tangible Assets 111.00 K 91133.87 6834.60 59343.41 6675.20 50632.86 6561.40 44801.19 6115.30 37318.50 0 0 0 0 0 0 0 0 0 0 0
Intangible Assets 98.97 107.89 244.80 89.82 272.10 73.14 298.40 270.44 315.90 256.11 239.50 230.20 240.00 246.50 285.69 271.98 198.39 69.10 69.10 0 0
Inventory 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Cash 3183.31 2814.70 8039.50 5357.78 7736.00 3639.32 5408.30 3547.72 4698.40 6397.65 4397.46 6478.72 7845.62 6276.43 3218.57 1884.65 2038.44 452.20 373.70 287.80 244.70
Other Current Assets 6586.42 7120.54 0 7260.81 0 5381.45 0 4777.65 0 3958.32 0 0 0 0 0 0 0 0 0 0 0
Current Assets 175.89 K 144.67 K 0 17318.79 0 14571.03 0 14341.28 0 15915.23 0 0 0 0 0 0 0 0 0 0 0
Non Current Assets 484.99 K 421.94 K 85173.30 456.82 K 81494.90 383.23 K 78746.50 335.18 K 80151.00 281.32 K 251.95 K 212.60 K 175.77 K 143.93 K 116.08 K 97098.82 73458.33 58018.00 45009.80 35388.00 28942.40
Other Assets 427.28 K 380.89 K 1662.80 322.11 K 1814.60 277.27 K 5108.70 5400.19 1074.20 6016.89 5210.71 8751.13 4448.25 2718.50 14230.08 3934.31 3963.41 85.50 76.40 61.70 1782.50
Total Assets 660.88 K 566.61 K 85173.30 474.14 K 81494.90 397.80 K 78746.50 349.53 K 80151.00 297.23 K 251.95 K 212.60 K 175.77 K 143.93 K 116.08 K 97098.82 73458.33 58018.00 45009.80 35388.00 28942.40
Short term Investment 2300.56 857.31 0 2181.79 0 2329.73 0 5491.46 0 4998.72 6000.33 3083.86 0.060 0.060 10.26 10.06 10.06 564.80 270.90 599.50 476.00
Long term Investment 55768.24 39144.13 68947.80 132.75 K 66368.50 104.37 K 62732.00 90667.83 63836.10 70113.31 0 0 0 0 0 0 0 0 0 0 0
Short Long Term Debt 88990.78 58427.82 5642.40 47565.31 5462.80 51181.01 3886.50 42935.31 9789.50 134.47 K 0 0 0 0 0 0 0 0 0 0 0
Working Capital -39492.64 -25442.25 0 -191570.83 0 -179730.89 0 -153727.64 0 -122530.64 0 0 0 0 0 0 0 0 0 0 0
Net Receivable 5703.80 4648.34 5618.70 1940.34 4646.00 2993.43 4540.70 457.79 8956.80 376.79 0 0 0 0 0 0 0 0 0 0 0


Compund Annual Growth Rate (CAGR) of Housing Development Finance Corporation Ltd.

Period 1 Year 3 Year 5 Year 7 Year 10 Year
Stock Holder Equity 21.61 % 22.99 % 17.03 % 13.85 % 13.30 %
Reserve 21.69 % 23.08 % 17.10 % 13.91 % 13.37 %
Current Liabilities 26.61 % 1.03 % 2.08 % 3.61 % 0.00
Total Liabilities 15.57 % 9.76 % 9.52 % 8.71 % 9.51 %
Current Assets 21.58 % 116.56 % 64.57 % 43.06 % 0.00
Total Assets 16.64 % 11.70 % 10.69 % 9.53 % 10.12 %
Short Term Debt 52.31 % 23.22 % 11.70 % 10.97 % 0.00
Long Term Debt 3.80 % 15.95 % 17.21 % 13.84 % 10.45 %
Short Term Investment 168.35 % 1.78 % -0.252 % -11.69 % -9.14 %
Long Term Investment 42.47 % -25.11 % -11.78 % -6.71 % 0.00
Working Capital 55.22 % 40.93 % 26.15 % 17.65 % 0.00
Cash 13.10 % -15.93 % -2.64 % -1.54 % -3.18 %
Inventory 0.00 0.00 0.00 0.00 0.00

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


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