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Balance Sheet of UPL (UPL)

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

Balance Sheet of UPL Ltd.

Year 31_Mar_2019 31_Mar_2018 31_Mar_2017 31_Mar_2016 31_Mar_2015 31_Mar_2014
Book Value / Share 287.16 179.78 146.48 136.95 136.73 122.43
Common Stock 102.00 102.00 101.00 86.00 85.72 85.72
Stock Holder Fund 14645.00 9169.00 7397.00 5889.00 5860.33 5247.42
Other Stock Holder Equity -4218.00 -3315.00 -3435.00 354.00 3.97 317.95
Total Permanent Equity 0 0 0 0 0 0
Reserve 14543.00 9067.00 7296.00 5803.00 5774.61 5161.70
Retained Earning 12306.00 5927.00 4303.00 4627.00 4987.64 4060.83
Non Current Liabilities 29481.00 6213.00 5923.00 2887.00 2523.53 2798.81
Long Term Debt 26352.00 5873.00 5350.00 2266.00 1694.08 2254.28
Minority Interest 3358.00 19.00 33.00 44.00 44.36 172.07
Current Liabilities 15564.00 7642.00 7028.00 8168.00 5993.47 4640.15
Accounts Payable 9423.00 5675.00 4875.00 3954.00 3211.87 2691.92
Defered Long term Debt 361.00 408.00 450.00 399.00 429.50 474.59
Other Current Liabilities 386.00 143.00 130.00 948.00 994.22 664.53
Other Liabilities 3084.00 340.00 573.00 621.00 829.45 544.53
Total Liabilities 45045.00 13855.00 12951.00 11055.00 8517.00 7438.96
Property Plant Equipment 5820.00 3964.00 3116.00 2600.00 2082.26 1745.87
Goodwill 15050.00 432.00 419.00 417.00 1449.33 1212.37
Net Tangible Assets -12858.00 7785.00 6018.00 4542.00 3780.91 3442.70
Intangible Assets 12813.00 1360.00 1328.00 930.00 630.09 592.35
Inventory 9269.00 4538.00 4156.00 3787.00 2937.60 2480.07
Cash 2827.00 2859.00 2880.00 1189.00 1009.81 1022.78
Other Current Assets 661.00 301.00 313.00 456.00 628.18 381.85
Current Assets 26991.00 15031.00 13698.00 11207.00 8488.54 7551.54
Non Current Assets 36057.00 8012.00 6683.00 5781.00 5933.15 5306.91
Other Assets 1860.00 1602.00 1832.00 1498.00 1007.84 1019.04
Total Assets 63048.00 23043.00 20381.00 16988.00 14421.69 12858.45
Short term Investment 138.00 45.00 22.00 26.00 0 0
Long term Investment 873.00 1069.00 438.00 336.00 763.63 737.28
Short Long Term Debt 2753.00 765.00 1011.00 487.00 499.14 3349.51
Working Capital 11427.00 7389.00 6670.00 3039.00 2495.07 2911.39
Net Receivable 11812.00 6056.00 5656.00 5749.00 3912.95 3666.84


Compund Annual Growth Rate (CAGR) of UPL Ltd.

Period 1 Year 3 Year 5 Year
Stock Holder Equity 59.72 % 35.48 % 22.79 %
Reserve 60.39 % 35.83 % 23.02 %
Current Liabilities 103.66 % 23.98 % 27.38 %
Total Liabilities 225.12 % 59.72 % 43.36 %
Current Assets 79.57 % 34.04 % 29.01 %
Total Assets 173.61 % 54.83 % 37.43 %
Short Term Debt 259.87 % 78.14 % -3.85 %
Long Term Debt 348.70 % 126.56 % 63.52 %
Short Term Investment 206.67 % 74.44 % 0.00
Long Term Investment -18.33 % 37.48 % 3.44 %
Working Capital 54.65 % 55.50 % 31.45 %
Cash -1.12 % 33.47 % 22.55 %
Inventory 104.25 % 34.77 % 30.17 %

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


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