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Annual Financial Statements

Year

Annual Finance Standalone


Rs. Million
Sales
A C C Ltd.
Mar-09
82746.1
Mar-10
88031.7
Mar-11
86092.9
Mar-12
105045.9
Mar-13
125071.7
Mar-14
123756.3
lnSales
11.3235321622
11.3854522559
11.3631822248
11.5621526765
11.7366424518
11.7260695882

DOL
DFL

-0.4866911743

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Profit after tax
Dividend paid and proposed
A C C Ltd.
A C C Ltd.
12127.9
4391.4
16067.3
5051.4
11209.4
6677.3
13267.5
6109.7
10611.9
6546.1
10930
6589.6
lnPBIT

lnPAT
9.809039501
10.0859299354
9.7090164885
9.8475043302
9.6899972583
9.6254851472

9.4032638625
9.6845414297
9.324507991
9.4930727147
9.2697312919
9.2992665812

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Total assets
Current assets
A C C Ltd.
A C C Ltd.
86462.2
21054.6
102436.9
17832.6
122387.3
21366
121652.6
30066.9
121427.1
23059.2
123517.2
23577.3

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current liabilities & provisions
Provision for direct tax
A C C Ltd.
A C C Ltd.
27684.3
5246
31621.6
6889.3
47115.4
4241.5
37693.9
4432.8
38719.7
3650.7
37463
3479.4

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Interest paid
Borrowings
A C C Ltd.
A C C Ltd.
823.6
4820.3
1046.3
5669.2
1014.5
5238.2
1210.8
5107.3
1892.6
1630.6
736.5
350.3

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Reserves and funds
Paid up equity capital
A C C Ltd.
A C C Ltd.
47398.5
1876.8
58282
1877.4
62815.4
1877.5
70043.2
1877.5
71948.5
1877.5
76368.9
1877.5

PBIT
18197.5
24002.9
16465.4
18911.1
16155.2
15145.9

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Sales
Profit after tax
Ambuja Cements Ltd.
Ambuja Cements Ltd.
70898.9
14022.7
77639.3
12183.7
83116.9
12643.2
96732.8
12296.9
110053.8
12970.6
103762.2
12945.7

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Dividend paid and proposed
Total assets
Ambuja Cements Ltd.
Ambuja Cements Ltd.
3918.9
78533.7
4277.2
89013.7
4632
103942.2
5702.9
116317.4
6448
124272.6
6508.9
131007.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current assets
Current liabilities & provisions
Ambuja Cements Ltd.
Ambuja Cements Ltd.
20472.7
14825.2
17869.3
17495
28300.6
24027.2
35178.6
27865.8
37450.8
29243.6
38140.1
28801.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Provision for direct tax
Interest paid
Ambuja Cements Ltd.
Ambuja Cements Ltd.
5677.9
315.4
5851.4
322.2
4355.5
839.9
5414.6
681.3
6066.5
1024.8
4603
964.1

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Borrowings
Reserves and funds
Ambuja Cements Ltd.
Ambuja Cements Ltd.
2886.7
53683.5
1657
61661.6
650.3
70241.3
493.6
77625.6
428.1
84966.2
404.8
91763.7

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Paid up equity capital
Sales
Ambuja Cements Ltd.
Asian Paints Ltd.
3045.2
50418.7
3047.4
57937.2
3059.7
72582.9
3068.7
91393.1
3084.4
104900.7
3091.7
121981.7

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Profit after tax
Dividend paid and proposed
Asian Paints Ltd.
Asian Paints Ltd.
3623.6
1963.9
7745
3023.1
7751.5
3570.5
9583.9
4459.3
10500
5155.2
11690.6
5903.9

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Total assets
Current assets
Asian Paints Ltd.
Asian Paints Ltd.
33557.2
10403.7
46233.9
11981
38891.7
15631.1
48261.4
20259
56815.5
24056.5
67177.3
26959.6

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current liabilities & provisions
Provision for direct tax
Asian Paints Ltd.
Asian Paints Ltd.
21280.2
1859.7
29294.1
3364.6
17452
3514
20640.1
4069.2
24322.1
4686.2
28612
5323.7

Annual Finance Standalone


Rs. Million
Interest paid
Asian Paints Ltd.

Annual Finance Standalone


Rs. Million
Borrowings
Asian Paints Ltd.
10.9
652.9
137.6
662.9
153.5
657.5
273.9
1682.2
265.6
541
260.8
476.9

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Reserves and funds
Paid up equity capital
Asian Paints Ltd.
Asian Paints Ltd.
9985.5
959.2
14613
959.2
18794
959.2
23918.6
959.2
29263.4
959.2
35050.1
959.2

Annual Finance Standalone


Rs. Million
Sales
Axis Bank Ltd.

Annual Finance Standalone


Rs. Million
Profit after tax
Axis Bank Ltd.
18153.6
25145.3
33884.9
42422.1
51794.3
62176.7

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Dividend paid and proposed
Total assets
Axis Bank Ltd.
Axis Bank Ltd.
4205.2
1477588.4
5674.5
1806805.3
6703.6
2427460.3
7700.7
2856508.6
9872.3
3405861.7
11011.2
3832874.7

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current assets
Current liabilities & provisions
Axis Bank Ltd.
Axis Bank Ltd.
182638.6
46132.7
184339.8
61334.6
251837.8
82088.5
192709
86432.8
260997.1
108881.2
354859.3
137889

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Provision for direct tax
Interest paid
Axis Bank Ltd.
Axis Bank Ltd.
9701.2
71492.7
13371.8
66335.3
17479.7
85918.3
20459.9
139769
23736.4
175163.2
31313.8
186895.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Borrowings
Reserves and funds
Axis Bank Ltd.
Axis Bank Ltd.
155198.7
98557.9
171695.5
156394.5
262678.8
185882.8
340716.7
223953.5
439511
326399.1
502909.4
377506.4

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Paid up equity capital
Sales
Axis Bank Ltd.
Bajaj Auto Ltd.
3590.1
95902.5
4051.7
123999.2
4105.5
173322.2
4132
204791.8
4679.5
211360.7
4698.4
211777

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Profit after tax
Dividend paid and proposed
Bajaj Auto Ltd.
Bajaj Auto Ltd.
6545
3724
17001.1
6748.5
33397.3
13452.4
30040.5
15133.9
30435.7
15234.5
32479.2
16927.3

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Total assets
Current assets
Bajaj Auto Ltd.
Bajaj Auto Ltd.
60473.6
13415.7
87389
29691.6
94194.8
26969.9
112451.4
39857.2
126368.7
33898.6
148953.7
33935.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current liabilities & provisions
Provision for direct tax
Bajaj Auto Ltd.
Bajaj Auto Ltd.
24352.1
3016.1
42781
7075
39853.4
10080.2
48727
10221.2
43748.3
12226.6
49385.9
13901

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Interest paid
Borrowings
Bajaj Auto Ltd.
Bajaj Auto Ltd.
210.1
15776.7
59.8
13406.5
16.9
3262.2
222.4
1250.3
5.4
884.4
4.9
591.9

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Reserves and funds
Paid up equity capital
Bajaj Auto Ltd.
Bajaj Auto Ltd.
17250.1
1446.8
27836.6
1446.8
46208.5
2893.7
57517
2893.7
76125.8
2893.7
93186.5
2893.7

Annual Finance Standalone


Rs. Million
Sales
Bank Of Baroda

Annual Finance Standalone


Rs. Million
Profit after tax
Bank Of Baroda
22272
30583.3
42416.8
50069.6
44807.2
45410.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Dividend paid and proposed
Total assets
Bank Of Baroda
Bank Of Baroda
3835.6
2266722.3
6392.6
2783166.9
7533.5
3583971.8
8122.9
4473214.7
10596.2
5471354.5
10836.8
6595045.4

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current assets
Current liabilities & provisions
Bank Of Baroda
Bank Of Baroda
276958.8
86276.6
385207.9
85983.1
532443.1
96063
713022.2
114004.6
909963.6
147033.9
1384598.6
178115

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Provision for direct tax
Interest paid
Bank Of Baroda
Bank Of Baroda
11157.4
99681.7
13199.8
107588.6
16529.1
130836.6
14439.8
193567.2
3505.1
238813.9
9562.3
269743.6

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Borrowings
Reserves and funds
Bank Of Baroda
Bank Of Baroda
127679
125141.9
133500.8
147408.5
223078.6
206507.3
235730.5
270644.7
265792.8
315469.1
368129.7
355550

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Paid up equity capital
Sales
Bank Of Baroda
Bharat Heavy Electricals Ltd.
3642.7
285042.3
3642.7
346136.9
3915.5
440028.1
4111.2
502563.9
4212.6
509631.5
4294.2
410575.1

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Profit after tax
Dividend paid and proposed
Bharat Heavy Electricals Ltd.
Bharat Heavy Electricals Ltd.
31382.1
9736.1
43106.4
13320.9
60112
17747.3
70399.6
18205.9
66147.3
15438.4
34607.8
8104

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Total assets
Current assets
Bharat Heavy Electricals Ltd.
Bharat Heavy Electricals Ltd.
483337.3
357187
544094.8
416852.1
677157.4
490661.2
777965.1
585979
823927.4
623928.9
845779.6
654734.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current liabilities & provisions
Provision for direct tax
Bharat Heavy Electricals Ltd.
Bharat Heavy Electricals Ltd.
351877.7
17878
382903.5
23192.1
472755.5
30756.9
520902.7
32841.3
503338.6
28787.4
487495
15848.5

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Interest paid
Borrowings
Bharat Heavy Electricals Ltd.
Bharat Heavy Electricals Ltd.
307.1
1493.7
335
1277.8
547.3
1633.4
473.4
1930.1
423.9
14999
1083.7
27331.6

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Reserves and funds
Paid up equity capital
Bharat Heavy Electricals Ltd.
Bharat Heavy Electricals Ltd.
124492.9
4895.2
154278.4
4895.2
196643.2
4895.2
248836.9
4895.2
299545.8
4895.2
325575.3
4895.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Sales
Profit after tax
Bharat Petroleum Corpn. Ltd.
Bharat Petroleum Corpn. Ltd.
1453920.7
7358.1
1314997.2
15375.3
1633126
15465.3
2225004.7
13111
2506492.6
26427.2
2710373.5
40600.1

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Dividend paid and proposed
Total assets
Bharat Petroleum Corpn. Ltd.
Bharat Petroleum Corpn. Ltd.
2845.3
481777.4
5789.3
545666.5
5772.4
571988.2
4548.6
666544.4
9228.6
679703.1
14258.2
740279.7

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current assets
Current liabilities & provisions
Bharat Petroleum Corpn. Ltd.
Bharat Petroleum Corpn. Ltd.
123889.1
130154.1
194900.3
173812.6
238588.3
221091.3
332918.2
264418
328360.8
250079.6
350837.8
316728.5

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Provision for direct tax
Interest paid
Bharat Petroleum Corpn. Ltd.
Bharat Petroleum Corpn. Ltd.
2611.2
19717.9
8237.5
9735.3
7584.8
8548.9
5710.8
9742.4
14648.2
8463.2
19801.8
5111.5

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Borrowings
Reserves and funds
Bharat Petroleum Corpn. Ltd.
Bharat Petroleum Corpn. Ltd.
211714.1
117665.7
221952
127251.7
189718.7
136960.8
229936.9
145523.2
238390.4
159109.4
203215.6
187356.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Paid up equity capital
Sales
Bharat Petroleum Corpn. Ltd.
Bharti Airtel Ltd.
3615.4
340142.9
3615.4
356095
3615.4
380177
3615.4
416038
7230.8
453509
7230.8
499185

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Profit after tax
Dividend paid and proposed
Bharti Airtel Ltd.
Bharti Airtel Ltd.
77438.4
4441.7
94262
4443
77169
4399
57300
4414
50970
3798
66002
7817

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Total assets
Current assets
Bharti Airtel Ltd.
Bharti Airtel Ltd.
533022.5
60255.6
613388
46038
796311
35530
901466
46895
995061
48219
1120348
51599

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current liabilities & provisions
Provision for direct tax
Bharti Airtel Ltd.
Bharti Airtel Ltd.
173544.4
4176.9
187631
11779
223135
10102
235009
12452
286270
13941
323624
19080

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Interest paid
Borrowings
Bharti Airtel Ltd.
Bharti Airtel Ltd.
2104.3
77136.6
1073
50389
1408
118975
11086
153014
14885
142183
10228
103654

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Reserves and funds
Paid up equity capital
Bharti Airtel Ltd.
Bharti Airtel Ltd.
257454.2
18982.4
348384
18988
422128
18988
475308
18988
522474
18988
647293
19987

Annual Finance Standalone


Rs. Million
Sales
Cairn India Ltd.

Annual Finance Standalone


Rs. Million
Profit after tax
Cairn India Ltd.
37.3
542.4
32
-689.5
23.9
-2126.7
0
439.6
91960.8
147467.7
99269.9
74543.3

Annual Finance Standalone


Rs. Million
Dividend paid and proposed
Cairn India Ltd.

Annual Finance Standalone


Rs. Million
Total assets
Cairn India Ltd.
321905.4
335160.6
333192.7
332656.6
25528.7
382487.8
28015
442143.1

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current assets
Current liabilities & provisions
Cairn India Ltd.
Cairn India Ltd.
28284.3
1997.4
1965.8
2343.2
6736.4
1547
4707
960.4
17232.9
39734
20644.5
50043.3

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Provision for direct tax
Interest paid
Cairn India Ltd.
Cairn India Ltd.
578.3
0.4
44
599.8
1367.2
35.4
1095.5
2644.5
651.4
3211.2
63

Annual Finance Standalone


Rs. Million
Borrowings
Cairn India Ltd.

Annual Finance Standalone


Rs. Million
Reserves and funds
Cairn India Ltd.
300941.3
13450
300397.7
13500
299126.5
12500
300122.2
0
321071.2
368705.3

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Paid up equity capital
Sales
Cairn India Ltd.
Cipla Ltd.
18966.7
53091.3
18969.7
56786.2
19019.2
64003.8
19074
70775.6
19102.4
82973.8
19076.3
94821.1

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Profit after tax
Dividend paid and proposed
Cipla Ltd.
Cipla Ltd.
7768.1
1818.8
10814.9
1872.5
9603.9
2615.3
11239.6
1866.3
15071.1
1878.7
13883.4
1878.7

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Total assets
Current assets
Cipla Ltd.
Cipla Ltd.
76125.5
34301.6
85278.3
33997.2
89881.9
37211.9
96371.9
36793.5
122321.5
42693.4
142729.9
44826.5

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current liabilities & provisions
Provision for direct tax
Cipla Ltd.
Cipla Ltd.
21574.1
1245
23924.7
2435
16921.5
1910
18165.9
2975
20820.5
5047.5
29538.1
4300

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Interest paid
Borrowings
Cipla Ltd.
Cipla Ltd.
329.4
9402.4
229.5
421.2
51.4
4706.4
121.3
378.7
270.4
9993.8
378.3
9163.4

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Reserves and funds
Paid up equity capital
Cipla Ltd.
Cipla Ltd.
41952.9
1554.6
57535.1
1605.8
64523.7
1605.8
73897
1605.8
87089.4
1605.8
99310.6
1605.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Sales
Profit after tax
Coal India Ltd.
Coal India Ltd.
4985.9
33715.7
6302.6
38603
6497.2
46961
6738
80651
6369
97943.2
6084.7
150085.4

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Dividend paid and proposed
Total assets
Coal India Ltd.
Coal India Ltd.
17054.2
223980.8
22100
241683.6
24633.8
276867.5
63163.6
307229.7
88429.1
340478.9
190794.5
250523.6

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current assets
Current liabilities & provisions
Coal India Ltd.
Coal India Ltd.
69364.1
53742.4
93941.4
56433.3
118777.1
85003.1
158915.3
97955
189199.8
123955
102425.9
86071.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Provision for direct tax
Interest paid
Coal India Ltd.
Coal India Ltd.
1628.5
3625.6
2000
2396.9
1900
2034.1
4501.2
3786.3
4601.4
3754.5
3802.3
2585.4

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Borrowings
Reserves and funds
Coal India Ltd.
Coal India Ltd.
17866.2
89208.6
14643
107443.7
13704.3
114996.5
13627.2
132483.9
11362.3
141998
0
101288.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Paid up equity capital
Sales
Coal India Ltd.
D L F Ltd.
63163.6
28340.7
63163.6
24118.7
63163.6
29119.6
63163.6
34873.9
63163.6
21491.5
63163.6
24680.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Profit after tax
Dividend paid and proposed
D L F Ltd.
D L F Ltd.
15775.8
3683.5
7650.6
3508.6
12695.8
3395.3
10417.9
3947.9
5015.5
4164.8
5268.2
3564.4

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Total assets
Current assets
D L F Ltd.
D L F Ltd.
251488.3
82654.6
289508.8
88244.1
347905.6
132397.5
360911.3
144058.5
370376.4
178057.4
376786.2
186385.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current liabilities & provisions
Provision for direct tax
D L F Ltd.
D L F Ltd.
30938.6
2610.1
34010.1
1757.1
58333.8
3090.5
55395.9
4587.7
65625.2
1758.6
70184.1
88.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Interest paid
Borrowings
D L F Ltd.
D L F Ltd.
11443.3
96149.7
9959
126378.5
14771.1
150595.5
17636.5
159551
19113
157374.7
17591.2
138998.6

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Reserves and funds
Paid up equity capital
D L F Ltd.
D L F Ltd.
120353.9
3394.4
124905.3
3394.8
134709.8
3395.1
141568.7
3396.8
142744.5
3397.4
162872.4
3562.9

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Sales
Profit after tax
Dr. Reddy'S Laboratories Ltd.
Dr. Reddy'S Laboratories Ltd.
45315
5609
48826
8461
57779
8934
67802
9124
83946
12659
97938
19330

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Dividend paid and proposed
Total assets
Dr. Reddy'S Laboratories Ltd.
Dr. Reddy'S Laboratories Ltd.
1232
77492
2217
90367
8138
102673
2712
117536
2984
137652
3585
167676

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current assets
Current liabilities & provisions
Dr. Reddy'S Laboratories Ltd.
Dr. Reddy'S Laboratories Ltd.
25582
17367
23804
24626
30888
26778
42071
33983
55801
37556
70345
46241

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Provision for direct tax
Interest paid
Dr. Reddy'S Laboratories Ltd.
Dr. Reddy'S Laboratories Ltd.
1686
149
2411
41
1585
48
3468
622
4877
631
5216
1054

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Borrowings
Reserves and funds
Dr. Reddy'S Laboratories Ltd.
Dr. Reddy'S Laboratories Ltd.
6403
51749
5632
58302
14448
59356
15354
66330
21000
76985
26662
92439

Annual Finance Standalone


Rs. Million
Paid up equity capital
Dr. Reddy'S Laboratories Ltd.

Annual Finance Standalone


Rs. Million
Sales
G A I L (India) Ltd.
842
244146.7
844
253758
846
329849.7
848
409390
849
481348.1
851
582005.6

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Profit after tax
Dividend paid and proposed
G A I L (India) Ltd.
G A I L (India) Ltd.
28037
10388.3
31398.4
11103.5
35611.3
11066.8
36537.3
12825.9
40220.9
14207.7
43751.5
15434.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Total assets
Current assets
G A I L (India) Ltd.
G A I L (India) Ltd.
257359.5
59192.8
303867.3
63227.7
327626.7
51092.7
418360.4
64288.5
512407.3
93428.7
570129.8
113885.1

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current liabilities & provisions
Provision for direct tax
G A I L (India) Ltd.
G A I L (India) Ltd.
82828.7
13781.5
105312.4
14180.4
89673.9
16746.8
108508.8
15638.7
124774.2
20688.6
137735.1
20740.5

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Interest paid
Borrowings
G A I L (India) Ltd.
G A I L (India) Ltd.
869.2
12001.3
699
14803.8
826.8
23100
273.2
53468.5
1169.8
90635
3347.7
102680.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Reserves and funds
Paid up equity capital
G A I L (India) Ltd.
G A I L (India) Ltd.
135011.5
12684.8
155305.2
12684.8
179848.6
12684.8
203573.5
12684.8
229593.2
12684.8
258038.5
12684.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Sales
Profit after tax
Grasim Industries Ltd.
Grasim Industries Ltd.
121790.3
16479.6
89393.5
20921
50320.3
11817.1
53710.9
11770
57719
12259.9
61575.1
8959.9

Annual Finance Standalone


Rs. Million
Dividend paid and proposed
Grasim Industries Ltd.

Annual Finance Standalone


Rs. Million
Total assets
Grasim Industries Ltd.
3164
160680.4
3090
93301.9
1970.6
100177.8
2183.8
110481
2163.3
130774.7
2003.5
138923.5

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current assets
Current liabilities & provisions
Grasim Industries Ltd.
Grasim Industries Ltd.
20531.1
22788.9
7791.2
8829.2
9295.1
8295
11754.8
9784.8
13385.6
13172.6
18898.2
12870.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Provision for direct tax
Interest paid
Grasim Industries Ltd.
Grasim Industries Ltd.
5998.8
1589.8
7700.5
1376.2
4383.6
635.2
3660.3
526.8
3060.7
721.3
1180.9
863.3

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Borrowings
Reserves and funds
Grasim Industries Ltd.
Grasim Industries Ltd.
33949.5
93858.9
10376.2
70536.7
8137.6
80420.2
7197.2
90076.7
12840.2
100300.7
13020.8
107357.4

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Paid up equity capital
Sales
Grasim Industries Ltd.
H C L Technologies Ltd.
916.7
46750.9
916.8
50787.6
917
67944.8
917.1
89072.2
917.8
125178.2
918.3
125178.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Profit after tax
Dividend paid and proposed
H C L Technologies Ltd.
H C L Technologies Ltd.
9971.6
5491.9
10565.3
3158.9
11982.2
5988.2
19503.7
9652.7
36111.3
9751.3
36111.3
9751.3

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Total assets
Current assets
H C L Technologies Ltd.
H C L Technologies Ltd.
70863.5
34019.2
91591.5
35640.8
97766.6
36306.4
120610.9
42974.7
183013.3
71792.7
183013.3
71792.7

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current liabilities & provisions
Provision for direct tax
H C L Technologies Ltd.
H C L Technologies Ltd.
30829.3
1943.9
28243.7
1000.1
28242.7
916
44072.7
4103.2
73088.2
7696.7
73088.2
7696.7

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Interest paid
Borrowings
H C L Technologies Ltd.
H C L Technologies Ltd.
253.8
5137.3
977.7
13973.9
975.7
10874.7
872.3
10457.8
653.5
7542.2
653.5
7542.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Reserves and funds
Paid up equity capital
H C L Technologies Ltd.
H C L Technologies Ltd.
33537.2
1340.5
47980.9
1357.6
57204.1
1377.4
64651.5
1386.6
100933.6
1393.7
100933.6
1393.7

Annual Finance Standalone


Rs. Million
Sales
H D F C Bank Ltd.

Annual Finance Standalone


Rs. Million
Profit after tax
H D F C Bank Ltd.
22449.4
29487
39264
51670.9
67262.8
84783.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Dividend paid and proposed
Total assets
H D F C Bank Ltd.
H D F C Bank Ltd.
4982.6
1833586.8
6414.6
2225568.8
8948
2774287.7
11748.9
3379715.1
15360.4
4003898.5
19274.9
4916580.9

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current assets
Current liabilities & provisions
H D F C Bank Ltd.
H D F C Bank Ltd.
217063.1
162428.3
327579.7
206159.4
405932.5
289928.6
380737.1
374318.6
399782.8
348420.2
603054.7
413444.1

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Provision for direct tax
Interest paid
H D F C Bank Ltd.
H D F C Bank Ltd.
10549.2
89111
13409.9
77863
18928.6
93850.8
23466.2
149895.7
30249.4
192537.5
42944.3
226529

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Borrowings
Reserves and funds
H D F C Bank Ltd.
H D F C Bank Ltd.
91636.4
142264.5
129156.9
210647.5
143940.6
249140.4
238465.1
294553.5
330066
357382.7
394390
429988.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Paid up equity capital
Sales
H D F C Bank Ltd.
Hero Motocorp Ltd.
4253.8
141442.4
4577.4
174103.7
4652.3
211489.7
4693.4
255450.3
4758.8
258659.6
4798.1
271935.3

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Profit after tax
Dividend paid and proposed
Hero Motocorp Ltd.
Hero Motocorp Ltd.
12817.6
4672.5
22318.3
25675.6
19279
24368.6
23781.3
10443.6
21181.6
14017.5
21090.8
15199.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Total assets
Current assets
Hero Motocorp Ltd.
Hero Motocorp Ltd.
60904
7700
85305
25595.7
107411.8
7892.3
99046.7
11003.3
107308.3
15606.8
112166.1
17878.9

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current liabilities & provisions
Provision for direct tax
Hero Motocorp Ltd.
Hero Motocorp Ltd.
20580.8
4997
48388.2
5999
53806
4768.6
36692.6
4865.8
46620.9
4110.4
53276.8
7581.7

Annual Finance Standalone


Rs. Million
Interest paid
Hero Motocorp Ltd.

Annual Finance Standalone


Rs. Million
Borrowings
Hero Motocorp Ltd.
25.3
784.9
21
660.3
151.7
21518
213
17308.3
119.1
9227.6
118.2
2842.6

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Reserves and funds
Paid up equity capital
Hero Motocorp Ltd.
Hero Motocorp Ltd.
37608.1
399.4
34250.8
399.4
29161.2
399.4
42498.9
399.4
49663
399.4
55599.3
399.4

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Sales
Profit after tax
Hindalco Industries Ltd.
Hindalco Industries Ltd.
196951
22302.7
205729.7
19156.3
253522
21369.2
283013.4
22469.3
280912.3
17130.9
304269.1
14475.2

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Dividend paid and proposed
Total assets
Hindalco Industries Ltd.
Hindalco Industries Ltd.
2686.3
362701.4
3012.2
419170.5
3337.6
466727.8
3449
557974.7
3136.1
668004.4
2415.5
741387.4

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current assets
Current liabilities & provisions
Hindalco Industries Ltd.
Hindalco Industries Ltd.
61873.2
26925.3
75984.5
61849.2
94210.1
65432
102920.6
78535.5
115336.1
69904.2
121877.5
88911.1

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Provision for direct tax
Interest paid
Hindalco Industries Ltd.
Hindalco Industries Ltd.
6108.8
2768.7
4621
2582.5
4686.6
2061.2
4997.5
2896.8
3474.3
4053.1
2720.5
6595.9

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Borrowings
Reserves and funds
Hindalco Industries Ltd.
Hindalco Industries Ltd.
83242.9
235878.6
63569
277196
90398.9
295086.4
145734.4
312996.8
245075.9
332396
270195.9
365259.7

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Paid up equity capital
Sales
Hindalco Industries Ltd.
Hindustan Unilever Ltd.
1700.3
219491.7
1913.5
184623.4
1914.4
206399.4
1914.6
231806.2
1914.6
272604.6
2064.6
295270

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Profit after tax
Dividend paid and proposed
Hindustan Unilever Ltd.
Hindustan Unilever Ltd.
24964.5
19122.9
22020.3
16559.7
23059.9
16419.6
26914
18839
37966.7
46556.8
38674.9
32729.7

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Total assets
Current assets
Hindustan Unilever Ltd.
Hindustan Unilever Ltd.
85202.8
49276
95909.1
48287.1
104019.1
55513.4
111980.2
52003.6
117762
55992.6
132689.4
60482.3

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current liabilities & provisions
Provision for direct tax
Hindustan Unilever Ltd.
Hindustan Unilever Ltd.
58525.7
5729.4
68050.8
6483.6
75530.5
6279.8
74960.7
7852.8
88917.6
11770.4
97574.8
13179.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Interest paid
Borrowings
Hindustan Unilever Ltd.
Hindustan Unilever Ltd.
253.2
4219.4
69.8
2.4
12.4
251.5
360.3

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Reserves and funds
Paid up equity capital
Hindustan Unilever Ltd.
Hindustan Unilever Ltd.
18435.2
2179.9
23653.5
2181.7
24435.7
2159.5
32967.8
2161.5
24577.7
2162.5
30607.8
2162.7

Annual Finance Standalone


Rs. Million
Sales
Housing Development Finance Corpn. Ltd.
108.8
104.6
96.6
96.9
97.4
91.9

Annual Finance Standalone


Rs. Million
Profit after tax
Housing Development Finance Corpn. Ltd.
22965.2
28416
35316
41268.4
48708.8
54537.6

Annual Finance Standalone


Rs. Million
Dividend paid and proposed
Housing Development Finance Corpn. Ltd.
9944.8
12055.9
15482
18909.7
22742.6
25657.8

Annual Finance Standalone


Rs. Million
Total assets
Housing Development Finance Corpn. Ltd.
1017088.2
1166914.3
1392919.3
1675693.8
1954624.9
2258872.2

Annual Finance Standalone


Rs. Million
Current assets
Housing Development Finance Corpn. Ltd.
23401
57754.9
67390.2
68562.4
67141.1
91082.8

Annual Finance Standalone


Rs. Million
Current liabilities & provisions
Housing Development Finance Corpn. Ltd.
46634.5
48784.7
67835.3
93475
117212.5
135006.3

Annual Finance Standalone


Rs. Million
Provision for direct tax
Housing Development Finance Corpn. Ltd.
9372.7
10908.7
13329.4
15438.8
17255.5
20008.6

Annual Finance Standalone


Rs. Million
Interest paid
Housing Development Finance Corpn. Ltd.
71345.7
67452.5
74803.8
108730.9
136339.9
157873.8

Annual Finance Standalone


Rs. Million
Borrowings
Housing Development Finance Corpn. Ltd.
838560.8
965653.1
1151423.2
1391548.6
1588612.1
1843532.8

Annual Finance Standalone


Rs. Million
Reserves and funds
Housing Development Finance Corpn. Ltd.
128529.4
149105.6
170231.4
187221.9
245209.4
276430.9

Annual Finance Standalone


Rs. Million
Paid up equity capital
Housing Development Finance Corpn. Ltd.

Annual Finance Standalone


Rs. Million
Sales
I C I C I Bank Ltd.
2844.5
2871.1
2933.7
2953.9
3092.7
3121

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Profit after tax
Dividend paid and proposed
I C I C I Bank Ltd.
I C I C I Bank Ltd.
37581.3
13763.8
40249.8
15019.9
51513.8
18170.3
64652.6
21228.2
83254.7
25996.3
98104.8
28875.3

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Total assets
Current assets
I C I C I Bank Ltd.
I C I C I Bank Ltd.
3798495.8
451596.6
3638668.3
492615
4066780.9
429589.3
4894963.2
640035.3
5372629.4
632132.3
5968823.1
683597.8

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Current liabilities & provisions
Provision for direct tax
I C I C I Bank Ltd.
I C I C I Bank Ltd.
182646.6
13588.4
155011.7
13203.4
159863.5
16093.3
329986.9
23381.7
321336
30712.2
347555.4
41576.9

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Interest paid
Borrowings
I C I C I Bank Ltd.
I C I C I Bank Ltd.
227259.4
931554.4
175925.7
942635.7
169571.6
1095542.8
228084.9
1401649.1
262091.9
1453414.9
277025.9
1547590.6

Annual Finance Standalone


Annual Finance Standalone
Rs. Million
Rs. Million
Reserves and funds
Paid up equity capital
I C I C I Bank Ltd.
I C I C I Bank Ltd.
484197.2
11132.1
505034.7
11148.2
539391.1
11517.4
592524.8
11526.9
655523.2
11535.6
720582.8
11548.4

Annual Finance Standalone


Rs. Million
Sales
I D F C Ltd.

Annual Finance Standalone


Annual Fin Annual Fin
Rs. Million
Rs. Million Rs. Million
Profit after tax
Dividend pTotal asset
I D F C Ltd.
I D F C Ltd.I D F C Ltd.
95.2
7359.2
1751.8 303790.7
126.1
10128.4
2173.4 343640.8
100.5
12771.2
3697.4 507219.3
117.2
16029.2
4440.1 630634.7
117.9
17650.2
4570.8 741401.4
106.5
17058.7
4613.9 790025.2

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Current assCurrent liabProvision foInterest paBorrowingsReserves aPaid up equSales
I D F C Ltd.I D F C Ltd.I D F C Ltd.I D F C Ltd.I D F C Ltd.I D F C Ltd.I D F C Ltd.I T C Ltd.
48781.8
8036.3
2340.8 20482.1 235330.4 47338.7 12952.8 232478.4
4892.5
9980.7
3048.7 19197.7 265228.7 55222.4 13006.1 263996.3
35386.7 33296.8
4543 22984.7 362972.7 87650.5 14609.5 308192.8
36098.5 44674.5
5998.4
33700 464287.8 106276.1 15123.6 352208.9
39800.6 70224.3
7041.9
46055 536313.6 119425.8 15147.3 421055.1
38635.8 85924.4
7113.8 49434.1 556716.2 131926.6 15162.9 470686.6

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Profit after Dividend pTotal asset Current assCurrent liabProvision foInterest paBorrowings
I T C Ltd. I T C Ltd. I T C Ltd. I T C Ltd. I T C Ltd. I T C Ltd. I T C Ltd. I T C Ltd.
32675.6 16338.7 198077.3 63457.1 47380.3 15651.3
283.8
1775.5
40616 44523.3 233904.3 65878.6
80971 19654.3
730
1077.1
49882.1 40020.9
258714 85200.4 86087.7 22876.9
583.2
992
61629.6 40890.4 294368.3 96046.9 92588.5 27370.8
669.8
891.2
74190 48534.9 345487.2 120486.6 104769.5 32788.6
659.7
776.7
88138.9
55829 397095.8 138696.5 116395.6 39624.8
29.5
665.4

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Reserves aPaid up equSales
Profit after Dividend pTotal asset Current assCurrent liab
I T C Ltd. I T C Ltd. Indusind BaIndusind BaIndusind BaIndusind BaIndusind BaIndusind Ba
133576.4
3774.4
1483.4
523.1 276762.1 45562.9 10230.8
136825.6
3818.2
3503.1
861.5 354300.4 52651.4 13278.4
151794.6
7738.1
5773.3
1083.6 456905.9 67481.1 16948.4
180100.5
7818.4
8026.1
1195.8 576724.8 70918.9
18108
214976.7
7901.8
10611.8
1837.8 734245.1 83125.2 20999.9
254667
7953.2
14080.2
2153.6 871896.7 89878.1 27187.2

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Provision foInterest paBorrowingsReserves aPaid up equSales
Profit after Dividend p
Indusind BaIndusind BaIndusind BaIndusind BaIndusind BaInfosys Ltd.Infosys Ltd.Infosys Ltd.
791.5 18504.4 28169.6
13092
3550
202970
58190
15740
1827.4 18205.8 49342.9 19865.8
4104.5
211400
58030
16740
3024.6 22128.6 55254.3 35842.5
4657.7
253850
64430
40130
3900.4 36549.6 86820.1 42740.1
4675.1
312540
84700
31370
5151.8 47503.6 94595.6 71073.9
5226.8
367650
91160
28150
7203.1 53628.2 147619.6 85173.3
5254.5
443410
101940
42270

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Total asset Current assCurrent liabProvision foInterest paBorrowingsReserves aPaid up equ
Infosys Ltd.Infosys Ltd.Infosys Ltd.Infosys Ltd.Infosys Ltd.Infosys Ltd.Infosys Ltd.Infosys Ltd.
212560
134220
34100
10030
175230
2860
261660
158140
38980
20330
217490
2870
291130
215550
44360
23780
242140
2870
361650
275050
61380
32040
294700
2870
433750
307340
69980
32350
357720
2870
532110
363060
108160
38270
418060
2860

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Sales
Profit after Dividend pTotal asset Current assCurrent liabProvision foInterest pa
Jindal Stee Jindal Stee Jindal Stee Jindal Stee Jindal Stee Jindal Stee Jindal Stee Jindal Stee
84575.3 15364.8
853.3 144923.3
19131 34347.3
4654
2328
78955.8 14796.8
1208 201768.3 20128.9 42440.4
4277.8
2841.8
104609.7 20641.2
1439.4 264910.5 33111.2 47101.4
6888.2
4132.1
147418.1 21106.5
1526.1
336754 42985.5 59318.8
7323.6
6848.9
168858.4 15925.5
1528.9 400671.9 56694.5 57779.3
6359.5
9667.7
163244.6 12919.5
1384.5 465059.8 67158.1 73719.6
3086.9 12993.3

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
BorrowingsReserves aPaid up equSales
Profit after Dividend pTotal asset Current ass
Jindal Stee Jindal Stee Jindal Stee Kotak MahiKotak MahiKotak MahiKotak MahiKotak Mahi
49626.5 53988.5
154.7
2761
278.2 287118.6
25859
83832.6 66528.8
931.2
5631.2
296.6 374363.2 34958.1
121109.1 85959.1
934.3
8181.8
412.5 508506.6 37714.9
157143.2 107519.3
934.8
10850.5
517.1 656667.9 43928.5
204702.8 122545.9
934.8
13607.2
596.7 836936.8 56873.3
243692.4 129728.4
914.9
15025.2
717.7 876276.6 78259.9

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Current liabProvision foInterest paBorrowingsReserves aPaid up equSales
Profit after
Kotak MahiKotak MahiKotak MahiKotak MahiKotak MahiKotak MahiLarsen & ToLarsen & To
24283.4
1499.6
15466 67340.1 35598.5
3456.7
343566 34816.1
28694.2
2688.6 13974.8 61405.2 41917.7
3481.4 373837.9 43751.7
30323.6
3695.2 20921.8 117239.5 64649.5
3684.4 442291.5 39573.2
25540
5148.7 36677.5 165955.2 76104.1
3703.4
535572 44559.6
27898
6113.4 48368.2 204106.2 90911.9
3733 520268.7 49102.7
33338.3
7699.3 50470.6 128955.7 118984.6
3851.6 570381.8 54927.3

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Dividend pTotal asset Current assCurrent liabProvision foInterest paBorrowingsReserves a
Larsen & ToLarsen & ToLarsen & ToLarsen & ToLarsen & ToLarsen & ToLarsen & ToLarsen & To
7170.8 376771.6 181500.9 182262.8 11771.7
4155.6 65560.3 123425.5
8650.4 483715.5 208239.6 228698.1 15175.9
5053.1 68008.3 181661.1
9991 594625.4 272453.7 299054.3 18561.9
6132 71611.1 217244.9
11152.5 708371.7 396626.5 347978.6 18538.3
6041.1 98957.7
253776
12266.6 753894.9 384661.2 363776.5
15413
8902.9 88342.3 292115.7
14010.3 811000.1 411867.1 349321.7 17747.8 10124.6 114589.2 336119.8

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Paid up equSales
Profit after Dividend pTotal asset Current assCurrent liabProvision fo
Larsen & ToLupin Ltd. Lupin Ltd. Lupin Ltd. Lupin Ltd. Lupin Ltd. Lupin Ltd. Lupin Ltd.
1171.4 29938.5
4169.7
1211.3 33915.3 14424.2
9199.2
544.1
1204.4 37284.1
6489.3
1412.7 45934.6 17419.3
9786.6
597.3
1217.7
45018
8099.8
1558.1 55299.9 22371.5 11914.9
347.1
1224.8 54105.2
8043.7
1661.4 62132.4 29152.3 11419.8
2003.4
1230.8 71507.8 12604.3
2095.3 71054.5 36414.2 13078.9
4603.6
1853.8 89775.7 23546.4
2939 88948.6 48006.9 14642.7
8164.6

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Interest paBorrowingsReserves aPaid up equSales
Profit after Dividend pTotal asset
Lupin Ltd. Lupin Ltd. Lupin Ltd. Lupin Ltd. Mahindra &Mahindra &Mahindra &Mahindra &
415.2
9449.1 12924.8
828.2 146681.3
8408.5
3120.6 143770.8
283.8
9068.1 24416.1
889.4 203961.2 20877.5
6237.5 161762.4
219.8
9832.9 30634.2
892.4 255381.4
26621
8026.4 198109.7
220.8 10990.2 36450.8
893.3 343481.8 28788.9
8686.1 240519.2
180.9
6686.8
47572
895.1 434126.5 33528.2
8911.5 277643.9
56.2
1444.7 68893.6
896.8 431201.8 37578.7
9682.9 316412.7

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Current assCurrent liabProvision foInterest paBorrowingsReserves aPaid up equSales
Mahindra &Mahindra &Mahindra &Mahindra &Mahindra &Mahindra &Mahindra &Maruti Suzu
37705.4 46688.6
1996.9
1341.2 40527.6 49894.6
2726.2
234337
43542.1 50468.2
7590
1568.5 28801.5 75438.2
2829.5
322336
40990.7 65651.2
8575.1
708.6 24044.7 100197.5
2936.2
405864
60584.9 76390.1
7270
1529.9 35807.6 118101.7
2945.2
393624
70194.5 87627.6 10942.7
1313.4 34885.9 143637.6
2951.6
490173
89183.9 96414.1
6110.8
1914.2 40453.3 164960.3
2951.6
488137

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Profit after Dividend pTotal asset Current assCurrent liabProvision foInterest paBorrowings
Maruti SuzuMaruti SuzuMaruti SuzuMaruti SuzuMaruti SuzuMaruti SuzuMaruti SuzuMaruti Suzu
12187
1183
178672
39038
75315
4571
510
7538
24976
2021
216288
22283
86708
10949
335
8889
22886
2518
246588
50060
101012
8202
244
4316
16352
2518
287871
55764
118155
5110
547
13735
23921
2828
339433
55239
133802
5989
1887
14486
27830
4241
385523
41194
149988
8755
1754
18820

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Reserves aPaid up equSales
Profit after Dividend pTotal asset Current assCurrent liab
Maruti SuzuMaruti SuzuN M D C LtdN M D C LtdN M D C LtdN M D C LtdN M D C LtdN M D C Ltd
92004
1445 75640.3 43723.8 10251.1 168367.5 113691.5 51318.8
116906
1445 62390.9 34472.6
8117.4 214055.6 137460.3 70417.7
137230
1445 113757.7 64992.2 15208.3 283510.6 185269.3
90275
150429
1445 112687.3 72653.9 20735.5 351812.9 221607.4 106657.5
184279
1510 107134.4 63423.7 32377.7 407062.7 235459.9 130819.5
208270
1510 120651.4 64200.8 39427.4 415165.5 215258.3 114109.7

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Provision foInterest paBorrowingsReserves aPaid up equSales
Profit after Dividend p
N M D C LtdN M D C LtdN M D C LtdN M D C LtdN M D C LtdN T P C LtdN T P C LtdN T P C Ltd
22962.8
112404.4
3964.7
419728
82013
34700
17688.4
138759.6
3964.7
466109
87282 36608.9
32310.5
15.1
188180.5
3964.7 543737.1 91025.9 36480.3
34841.5
14.8
240098.9
3964.7 611154.3 92237.3 38261.1
30919.2
132
271144.9
3964.7 637858.6 126193.9 55230.3
33228.7
18.5
295918.3
3964.7 703096.7 109747.4 55458.9

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Total asset Current assCurrent liabProvision foInterest paBorrowingsReserves aPaid up equ
N T P C LtdN T P C LtdN T P C LtdN T P C LtdN T P C LtdN T P C LtdN T P C LtdN T P C Ltd
1114528
262696
150901
25547
9996
345793
516683
82455
1247014
270373 203469.4 26799.7 10709.3 378123.3 541919.6 82454.6
1392843 318205.8 221167.9 26305.4 12271.8 431923.6 596467.9 82454.6
1503260 365017.3 261155.6 32414.9 15167.9 502823.3 650457.1 82454.6
1762918 389928.8 314177.2 41180.9 21657.2 581635.3 721420.5 82454.6
1920058 369735.9 323018.2 33668.7
23124 671729.3 775698.6 82454.6

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Sales
Profit after Dividend pTotal asset Current assCurrent liabProvision foInterest pa
Oil & NaturOil & NaturOil & NaturOil & NaturOil & NaturOil & NaturOil & NaturOil & Natur
664043.1 161263.2
80076 1530395 289105.1 604383.6 84084.4
1189.2
624588.6 167675.6 82198.4 1688948
268849 664502.2 82362.3
144.2
702236
189240
87017 1848476 235343.5 707737.3 91521.8
251
797059.8 251229.2 96702.3 2113779
339440 762414.3 121424.7
348.3
865789
209257 94288.8 2228653 394847.8 770540.8 103201.1
276
880997.1 220948.1 95084.4 2371977 365871.5 741886.1 101225.4
3.2

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
BorrowingsReserves aPaid up equSales
Profit after Dividend pTotal asset Current ass
Oil & NaturOil & NaturOil & NaturPower GridPower Grid Power GridPower Grid Power Grid
267.4 765965.3 21388.7 57135.4 16721.5
5909.2 544781.5 64652.8
49.8 851437.2 21388.7 71614.7 20140.7
7370.1 637439.5 71667.6
0 932266.7 42777.5 84093.5 26744.2
9425.6 758112.1 84125.3
45000 1086790 42777.5 101285.9 32546.4 11338.6
957529 75418.3
0 1201755 42777.5 128052.1 42334.2 14817.3 1173060 77348.6
1324473 42777.5 152492.1 44916.3 15764.7 1463321 114914.6

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Current liabProvision foInterest paBorrowingsReserves aPaid up equSales
Profit after
Power GridPower Grid Power GridPower GridPower Grid Power GridPunjab NatPunjab Nat
84355.9
3776.3 11808.1 306250.2
106401 42088.4
30908.8
124311.3
5953.1 13914.5 344167.9 119318.8 42088.4
39053.6
122433.9 11232.5 14035.2 408827.7 169085.8 46297.3
44335
138035.4 13452.4 16734.8 534019.1 188580.5 46297.3
48920.8
173907.5
14133 23012.4 681878.7 216097.4 46297.3
47507.3
227614.7
17665 28970.9 831698.5 292280.4 52315.9
33454.4

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Dividend pTotal asset Current assCurrent liabProvision foInterest paBorrowingsReserves a
Punjab NatPunjab NatPunjab NatPunjab NatPunjab NatPunjab NatPunjab NatPunjab Nat
7377.8 2469397 250043.4 100448.4 15907.7 122953.1 124596.6 143383.3
8100.9 2966579 278847.4 103176.9 18935.8 129440.2 192623.7 174076.2
8100.6 3783541 340485.1 123282.7 21749.2 151791.4 315896.9 211917.5
8672.4 4582205 350756.7 135241.7 21528.4 230616.9 372642.8 274762.5
11165.7 4789655 343741.7 150898.5 17740.9 270368.2 396209.2 323234.2
4236.1 5507483 518260.4 150934.4 13479.4 270772.8
480344 355332.5

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Paid up equSales
Profit after Dividend pTotal asset Current assCurrent liabProvision fo
Punjab NatReliance InReliance InReliance InReliance InReliance InReliance InReliance In
3153 1463281 153093.2 22194.5 2459532 416324.9
357019 31373.4
3153 2003998 162356.7 24309.1 2512494 521958.8 404148.3 43249.7
3168.1 2586510
202860
27720 2849000
746010
540050
49560
3391.8 3397920
200400
29410 2952250
942260
484750
57100
3534.7 3711190
210030
30750 3186110 1046360
538710
52810
3620.7 4013020
219840
32680 3677440
906860
683090
58340

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Interest paBorrowingsReserves aPaid up equSales
Profit after Dividend pTotal asset
Reliance InReliance InReliance InReliance InSesa SterlitSesa SterlitSesa SterlitSesa Sterlit
17449.9 739044.8 1247302 15735.3 50797.1 19424.9
2072.3 65540.5
19756.8 624946.9 1339002 32703.7 53104.9 21180.9
3159.6 122056.2
21250
676030 1482670
32730 78609.3
34328
3762.6 142076.9
19660
684470 1628250
32710
70964 16799.4
3555.6 178489.2
21520
724270 1767660
32290 24386.8
1207.7
101.7 185400.9
18670
899680 1938420
32320 300440.6 10760.9
9635.8 867185.9

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Current assCurrent liabProvision foInterest paBorrowingsReserves aPaid up equSales
Sesa SterlitSesa SterlitSesa SterlitSesa SterlitSesa SterlitSesa SterlitSesa SterlitState Bank
5006 19724.9
6882.1
8.1
19.1 44390.6
787.2
31038 30073.3
5400
490.2
19258 71256.1
831
21644.2 15746.4
9530
352.6
9713.2
115019
869.1
14083.2
12407
7410
2367.9 35991.3 128262.8
869.1
9245.3
5694
-637.8
2782.9 48318.1 129368.8
869.1
97154.9
111254
-5817.7 27821.2 389452.2 333823.2
2965

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Profit after Dividend pTotal asset Current assCurrent liabProvision foInterest paBorrowings
State BankState BankState BankState BankState BankState BankState BankState Bank
91212.3 20891.9 9650430 1374674 803533.3 50594.2
429153 840579.4
91660.5
21414 10539566 1143983
803367 47600.3 473224.8 1030116
82645.2 21515.2 12246938 1596367 1052484 66897.1 488679.6 1195690
117072.9 26451.5 13377094 1418547
812151
67973 632303.7 1270056
141049.8 32146.9 15686992 1571785 947763.8 58459.1
753258 1691827
108911.7 25381.8 17945701 1642150 935751.3 54249.9 870686.3 1831309

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Reserves aPaid up equSales
Profit after Dividend pTotal asset Current assCurrent liab
State BankState BankSun Pharmac
Sun Pharmac
Sun Pharmac
Sun Pharmac
Sun Pharmac
Sun Pharmac
573128.2
6348.8 28336.5 12652.9
3331.9 62941.4 24898.6
9958.7
653143.2
6348.8 18686.5
8986.5
3320.9 66093.3
12396
7367.1
643510.4
6350 20046.4
13838
4212.5 76211.5 24602.9
7546.5
832801.6
6710.4 24882.1 16991.1
5015.2
92885 27421.5 12296.8
981996.5
6840.3 24522.3
5165.5
6057.9 95287.2 21175.4 15223.1
1175357
7465.7 29958.8 -28285.2
3634.7 141224.9 40166.1 41012.5

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Provision foInterest paBorrowingsReserves aPaid up equSales
Profit after Dividend p
Sun Pharmac
Sun Pharmac
Sun Pharmac
Sun Pharmac
Sun Pharmac
Tata ConsulTata ConsulTata Consul
301.2
27.7
236 50478.6
1035.6
224079 46962.1 16110.7
505.1
4.4
294.9 56144.2
1035.6 230472.8 56185.1 45889.4
701.8
3.4
505.3 65769.7
1035.6 292770.2 75699.9 32019.2
284
1.3
403 77745.6
1035.6 381061.1 109759.8 57123.8
1465
4.4
431.3 76853.2
1035.6 484300.4 127863.4 50370.6
274.3
183.8 24090.1 72007.6
2071.2 646807.8 184749.2 70850.5

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Total asset Current assCurrent liabProvision foInterest paBorrowingsReserves aPaid up equ
Tata ConsulTata ConsulTata ConsulTata ConsulTata ConsulTata ConsulTata ConsulTata Consul
186106.4 62998.9 49529.5
5465.9
74.4
410.4 132483.9
978.6
227606.8 76677.7 74972.9
7658.5
95.4
357.4
148209
1957.2
262262.2 118372.9 65045.1 10359.4
200.1
411.2 192837.7
1957.2
344199 173851.3 93076.6 24253.4
164
1042 245609.1
1957.2
430610.9 206593.9 100782.8 28777.2
306.2
1719.4 322665.3
1957.2
578864.4 327674.7 134346.4 46019.3
234.1
1154.8 438560.1
1958.7

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Sales
Profit after Dividend pTotal asset Current assCurrent liabProvision foInterest pa
Tata MotorsTata MotorsTata MotorsTata MotorsTata MotorsTata MotorsTata MotorsTata Motors
285132.8 10165.5
3457 382686.3 51809.7
106981
125
4944.4
381618.7 22400.8
9919.4
513273 73371.3 174671.5
5894.6
7562.6
510050.7 18118.2 14670.3 550111.1 109005.2 163742.2
3847
9169.5
591991.7 12437.1 14637.2 554327.9 112520.9 167269.7
988
8494.4
491789
3032.9
7242.3
540260 89325.2 142268.4
-1268.8 10514.5
358048.3
4135.5
7453 541691.9
76540 157235.6 -11885.2
9929.6

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
BorrowingsReserves aPaid up equSales
Profit after Dividend pTotal asset Current ass
Tata MotorsTata MotorsTata MotorsTata Power Tata Power Tata Power Tata Power Tata Power
131655.6 118802.2
5140 72710.5
9222
2877.3 161847.6 23598.1
165945.4 143948.7
5705.5 71169.3
9387.6
3233.4 189830.5
39317
159154.3 193755.9
6346 68775.1
8941.4
3131.9 213538.5 35076.2
162421.2 187329.1
6347 85245.1
11618
3366.7 251024.4 49071.6
170997.7 184967.7
6380.2 95066.2
9962.7
3017.1 282122.1 55575.6
153024.6 185328.7
6437.3 83536.9
9826.2
3631.7 306355.6 51671.2

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Current liabProvision foInterest paBorrowingsReserves aPaid up equSales
Profit after
Tata Power Tata Power Tata Power Tata Power Tata Power Tata Power Tata Steel LTata Steel L
20886.4
2093.4
3057.9
51982 84709.2
2213.8 268435.3 52017.4
21866.4
3207.2
4066.4 58720.1 103864.4
2372.7
267576
50468
27758.5
1888.1
4429.2 69892.8 110026.6
2372.7 319019.4 68611.5
33448.5
5119.7
4938 79162.8 115836.8
2372.7 368169.4 66964.2
34576.8
6786.9
6662.6 101030.8 120235.2
2372.7
418876 50629.7
38792.7
5627.3
7953.9 111746.8 128900.3
2372.7 460422.6 64121.9

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Dividend pTotal asset Current assCurrent liabProvision foInterest paBorrowingsReserves a
Tata Steel LTata Steel LTata Steel LTata Steel LTata Steel LTata Steel LTata Steel LTata Steel L
14925 691031.7
62046 100884.3 21148.7
14895 269461.8 239728.1
8784.5 744823.4 67676.5 102350.9
21685 18481.9
252392 360743.9
13077.7 906913.4
86716 118837.2 29124.4 16862.7 283011.2 458070.2
13470.3
968316 98002.5 141801.1 31626.3 18196.7 261722.5 512450.5
9057 1034959
88968 150550.6 27756.3 17912.5 275077.9 542382.7
10374 1126224 79955.2 176770.9 33033.1 17354.6 279172.6 601765.8

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Paid up equSales
Profit after Dividend pTotal asset Current assCurrent liabProvision fo
Tata Steel LTech Mahind
Tech Mahind
Tech Mahind
Tech Mahind
Tech Mahind
Tech Mahind
Tech Mahind
7305.9
43601
9866
571
29662
15663
10852
1039
8872.1
44843
7428
501
58442
14199
16104
1314
9592.1
49655
6967
593
60934
16773
14867
1099
9712.1
52430
4606
597
64441
16854
18743
1412
9712.1
60019
6525
750
74057
19747
18184
1906
9712.1
162951
26950
5464
155774
85863
66781
8029

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Interest paBorrowingsReserves aPaid up equSales
Profit after Dividend pTotal asset
Tech Mahind
Tech Mahind
Tech Mahind
Tech Mahind
Ultratech Ultratech Ultratech Ultratech
25
17592
1217 71604.2
9770.2
728.2 77364.7
1552
13672
27441
1223 77291.3 10932.4
871 83667.8
991
12227
32580
1260 149482.1 14042.3
1910.9
201575
772
11266
33157
1275 206011.2 24461.9
2548.2 230918.8
935
14045
40544
1281 228574.5 26554.3
2887 275779.9
771
3092
83551
2335 229365.2 21444.7
2887.7 299347.4

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Current assCurrent liabProvision foInterest paBorrowingsReserves aPaid up equSales
Ultratech Ultratech Ultratech Ultratech Ultratech Ultratech Ultratech Wipro Ltd.
9904 12530.7
3844.4
1192.2 21416.3 34776.1
1244.9
216128
11312.6 12990.9
4950.5
1129.8 16045.2 44841.6
1244.9
230063
27160.3 34551.8
5045.9
2671.7 41446.2
103920
2740.4
264012
30010.2 41961.9
9566.9
2697.4 41528.7 125857.5
2740.7
318034
35174.3 48610.4
11738
2594.9 54085.4 149606.4
2741.8
332296
39437.5 51630.1
7266
3736.9 51993.2 168232.7
2742.4
387651

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Profit after Dividend pTotal asset Current assCurrent liabProvision foInterest paBorrowings
Wipro Ltd. Wipro Ltd. Wipro Ltd. Wipro Ltd. Wipro Ltd. Wipro Ltd. Wipro Ltd. Wipro Ltd.
29738
6859
250724
112042
75092
6110
1968
50139
48980
10095
305674
137567
72901
8384
998
55302
48437
16930
344350
154253
82648
9208
586
47441
46851
17145
389644
192529
91880
13080
799
52869
56502
20139
411542
213214
106264
16417
799
60950
73874
23089
462803
255528
120519
23329
732
45830

Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin Annual Fin
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Reserves aPaid up equSales
Profit after Dividend pTotal asset Current assCurrent liab
Wipro Ltd. Wipro Ltd. Zee EntertaZee EntertaZee EntertaZee EntertaZee EntertaZee Enterta
122204
2930 12100.8
3097.4
1013.4 29997.6
8282.5
4698.9
173968
2936 12787.4
5588.4
2270.1 36336.1 12676.6
6592.1
208294
4908
21700
5764
2273
36243
19194
7055
238608
4917
22040
4897
1671
35652
17798
5526
237369
4926
25659
6407
2245
40582
20392
6850
288627
4932
30757
7723
2348
47784
22340
7877

Annual Fin Annual Fin Annual Fin Annual Fin Annual Finance Standalone
Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million
Provision foInterest paBorrowingsReserves aPaid up equity capital
Zee EntertaZee EntertaZee EntertaZee EntertaZee Entertainment Enterprises Ltd.
1324.4
249
1721.3
22996
434
808.1
126.9
1317 27764.3
434
2678
34
11
28058
978
2379
4
17
28992
959
3052
12
24
32574
954
4030
71
27
18551
960

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