Market
  • Company Info.

    Crompton Greaves Consumer Electricals Ltd.

    Income Statement - Consolidated



    Market Cap.(`) 28824.34 Cr. P/BV 9.61 Book Value (`) 46.61
    52 Week High/Low ( ` ) 484/261 FV/ML 2/1 P/E(X) 65.52
    Book Closure 26/07/2024 EPS (`) 6.84 Div Yield (%) 0.67


    (` in Crs.)
    You can view the Consolidated Income Statement for the last 5 years.

    ParticularsMar 24Mar 23Mar 22Mar 21Mar 20
    Months1212121212
    Source Of Info (AR = Annual Report, PR = Press Release)ARARARARAR
    FaceValue2.002.002.002.002.00
          
          
    INCOME     
    Revenue From Operations [Net]7273.726832.555374.064792.194505.47
    Other Operating Revenues39.0937.0620.0511.3214.79
    Total Operating Revenues7312.816869.615394.114803.514520.26
          
    Other Income67.3966.7872.6575.7559.05
    Total Revenue7380.206936.395466.764879.264579.31
          
    EXPENSES     
    Cost Of Materials Consumed1829.031734.961193.91986.31979.46
    Purchase Of Stock-In Trade3288.843011.322467.572320.002217.16
    Changes In Inventories Of FG,WIP And Stock-In Trade-117.56-65.9340.30-39.07-126.29
    Employee Benefit Expenses589.87540.80362.39336.58310.95
    Finance Costs79.19109.1835.3142.9140.67
    Depreciation And Amortisation Expenses128.82115.9242.2829.6926.79
    Other Expenses1008.94877.99560.49479.21539.88
    Total Expenses6807.136324.244702.254155.633988.62
          
    Profit/Loss Before Exceptional, ExtraOrdinary Items And Tax573.07612.15764.51723.63590.69
          
    Exceptional Items0.000.00-12.970.000.00
    Profit/Loss Before Tax573.07612.15751.54723.63590.69
          
    Tax Expenses-Continued Operations     
    Current Tax134.30178.62159.52115.6184.00
    Deferred Tax-2.23-26.169.67-8.6310.30
    Tax For Earlier Years-0.78-16.713.970.000.00
    Total Tax Expenses131.29135.75173.16106.9894.30
    Profit/Loss After Tax And Before ExtraOrdinary Items441.78476.40578.38616.65496.39
          
    Profit/Loss From Continuing Operations441.78476.40578.38616.65496.39
          
    Profit/Loss For The Period441.78476.40578.38616.65496.39
          
    Minority Interest-1.86-13.190.000.000.00
    Consolidated Profit/Loss After MI And Associates439.92463.21578.38616.65496.39
          
    OTHER INFORMATION     
          
    EARNINGS PER SHARE     
    Basic EPS (Rs.)6.887.299.219.837.92
    Diluted EPS (Rs.)6.887.279.179.837.85
          
    DIVIDEND AND DIVIDEND PERCENTAGE     
    Equity Share Dividend191.90158.41156.96188.20151.17
  • Crompton Greaves Consumer Electricals Ltd.

    Balance Sheet - Consolidated



    Market Cap.(`) 28824.34 Cr. P/BV 9.61 Book Value (`) 46.61
    52 Week High/Low ( ` ) 484/261 FV/ML 2/1 P/E(X) 65.52
    Book Closure 26/07/2024 EPS (`) 6.84 Div Yield (%) 0.67


    (` in Crs.)
    You can view the Consolidated Balance Sheet for the last 5 years.

    ParticularsMar 24Mar 23Mar 22Mar 21Mar 20
    Months1212121212
    Source Of Info (AR = Annual Report, PR = Press Release)ARARARARAR
    FaceValue2.002.002.002.002.00
    No. of Equity Shares (in Lacs)6431.076361.106334.066276.916272.84
          
    EQUITIES AND LIABILITIES     
    SHAREHOLDER'S FUNDS     
    Equity Share Capital128.62127.22126.68125.54125.46
    Total Share Capital128.62127.22126.68125.54125.46
          
    Reserves and Surplus2795.182392.362187.651643.361342.88
    Total Reserves and Surplus2795.182392.362187.651643.361342.88
    Employees Stock Options75.82140.41138.63162.530.00
    Total Shareholders Funds2999.622659.992452.961931.431468.34
    Minority Interest449.35447.71782.450.000.00
          
    NON-CURRENT LIABILITIES     
    Long Term Borrowings298.97597.184.56298.79179.72
    Deferred Tax Liabilities [Net]9.9412.2739.430.000.00
    Other Long Term Liabilities66.8269.1244.140.000.00
    Long Term Provisions193.73131.23109.5521.4419.11
    Total Non-Current Liabilities569.46809.80197.68320.23198.83
          
    CURRENT LIABILITIES     
    Short Term Borrowings300.00325.001602.950.000.00
    Trade Payables1314.461035.381017.78864.67643.57
    Other Current Liabilities244.84208.07212.53296.21275.57
    Short Term Provisions203.97168.48182.24204.76165.51
    Total Current Liabilities2063.271736.933015.501365.641084.65
          
    Total Capital And Liabilities6081.705654.436448.593617.302751.82
          
    ASSETS     
    NON-CURRENT ASSETS     
    Tangible Assets475.29483.97475.63132.76125.06
    Intangible Assets1436.081480.511512.382.824.50
    Capital Work-In-Progress11.425.4613.0010.8619.90
    Intangible Assets Under Development47.0621.050.000.000.00
    Fixed Assets1969.851990.992001.01146.44149.46
    Goodwill On Consolidation1285.461285.461285.46779.41779.41
    Non-Current Investments0.000.350.340.000.00
    Deferred Tax Assets [Net]0.000.000.0058.5550.67
    Other Non-Current Assets121.59119.3461.7326.2430.61
    Total Non-Current Assets3376.903396.143348.541010.641010.15
          
          
    CURRENT ASSETS     
    Current Investments689.10547.83623.83769.73540.82
    Inventories830.44743.85721.04518.64463.61
    Trade Receivables720.89670.56615.43491.18463.46
    Cash And Cash Equivalents260.77109.48915.19603.9548.12
    Short Term Loans And Advances0.360.661.230.000.00
    OtherCurrentAssets203.24185.91223.33223.16225.66
    Total Current Assets2704.802258.293100.052606.661741.67
          
    Total Assets6081.705654.436448.593617.302751.82
          
    OTHER INFORMATION     
          
    CONTINGENT LIABILITIES, COMMITMENTS     
    Contingent Liabilities301.26203.93192.16178.14138.10
          
    BONUS DETAILS     
    Bonus Equity Share Capital0.080.080.080.080.00
          
    NON-CURRENT INVESTMENTS     
    Non-Current Investments Quoted Market Value0.000.350.340.000.00
          
    CURRENT INVESTMENTS     
    Current Investments Quoted Market Value660.31265.2032.0831.1710.50
    Current Investments Unquoted Book Value248.97282.63591.75738.56530.32
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