Biofil Chemicals and Pharmaceuticals Limited (BIOFILCHEM.BO)

INR 61.06

(-0.33%)

Annual Balance Sheets

(In INR)
Breakdown 2024 2023 2022 2021 2020 2019
Total Assets 470.82 Million 314.05 Million 187.32 Million 332.38 Million 423.64 Million 242.13 Million
Total Current Assets 384.07 Million 224.05 Million 93.13 Million 234.61 Million 322.72 Million 139.18 Million
Cash And Short Term Investments 22.83 Million 377 Thousand 1.45 Million 4.4 Million 2.56 Million 1.36 Million
Cash and Cash Equivalents 22.83 Million 260 Thousand 1.45 Million 4.4 Million 2.56 Million 1.36 Million
Short Term Investments 21.9 Million 117 Thousand 600 Thousand 4.3 Million - -
Net Receivables 330.29 Million 205.02 Million 71.79 Million 183.02 Million 299.24 Million 121.92 Million
Inventory 25.49 Million 12.13 Million 12.93 Million 43.44 Million 16.92 Million 11.9 Million
Other Current Assets 5.45 Million 6.51 Million 2.47 Million 10.84 Million 3.99 Million 3.99 Million
Total Non-Current Assets 86.75 Million 90 Million 94.19 Million 97.76 Million 100.92 Million 102.94 Million
Net PPE 86.24 Million 90 Million 94.19 Million 97.76 Million 100.92 Million 102.94 Million
Good Will And Intangible Assets - - - - - -
Good Will - - - - - -
Intangible Assets - - - - - -
Long-Term Investments - - - - - -
Tax Assets 399 Thousand 307 Thousand 190 Thousand 37 Thousand - -
Other Non Current Assets 108.99 Thousand -307 Thousand -191 Thousand -37 Thousand -100.92 Million -102.94 Million
Other Assets 1.00 0.00 -1000.00 -1000.00 - -
Total Liabilities 288.79 Million 141.04 Million 18.94 Million 171.09 Million 274.81 Million 105.63 Million
Total Current Liabilities 285.24 Million 137.25 Million 14.94 Million 167.53 Million 274.81 Million 105.63 Million
Account Payables 275.54 Million 126.49 Million 5.96 Million 158.52 Million 259.17 Million 85.83 Million
Tax Payables 2.4 Million 2.3 Million 2.71 Million 3.27 Million - -
Short Term Debt 4.38 Million 5.22 Million 4.64 Million 4.29 Million 11.92 Million 16.37 Million
Deferred Revenue 1.44 Million 2.3 Million 4.33 Million 3.27 Million - -
Other Current Liabilities 3.86 Million 3.23 Million -1000.00 1.43 Million 3.72 Million 3.42 Million
Total Non Current Liabilities 3.55 Million 3.78 Million 3.99 Million 3.56 Million - -
Long-Term Debt - - - - - -
Deferred Revenue Non Current - - - - - -
Deferred Tax Liabilities Non Current - - - - - -
Other Non Current Liabilities -1.00 - - - - -
Other Liabilities 1.00 - -0.00 - - -
Total Equity 182.02 Million 173.01 Million 168.37 Million 161.29 Million 148.83 Million 136.49 Million
Stock Holders Equity 182.02 Million 173.01 Million 168.37 Million 161.29 Million 148.83 Million 136.49 Million
Common Stock 162.73 Million 162.73 Million 162.73 Million 162.73 Million 162.73 Million 162.73 Million
Retained Earnings -318.26 Million -325.95 Million -330.59 Million -337.68 Million -350.14 Million -362.47 Million
Accumulated other comprehensive income 19.28 Million 180.02 Million 180.02 Million 180.02 Million 180.02 Million 180.02 Million
Common Stock Equity 182.02 Million 173.01 Million 168.37 Million 161.29 Million 148.83 Million 136.49 Million
Capital Lease Obligation - - - - - -
Total Investments 21.9 Million 117 Thousand 600 Thousand 4.3 Million - -
Total Debt 4.38 Million 5.22 Million 4.64 Million 4.29 Million 11.92 Million 16.37 Million
Net Debt -18.44 Million 4.96 Million 3.19 Million -107 Thousand 9.36 Million 15.01 Million

Balance Sheet Charts