Bajaj Finserv Balance Sheet Annual

Trade
BSE: 532978 | NSE: BAJAJFINSV | ISIN: INE918I01026 | Sector: Insurance (Life)
1,605.35 +3.75 (0.23%)Updated : 25 Nov 2024
Fiscal Period2024202320222021
Period End DateMar 24Mar 23Mar 22Mar 21
Cash Equivalents 5,765.02430.742,759.80890.01
Property/ Plant/ Equipment Total- Net 3,827.242,937.212,365.302,103.10
Goodwill Net 689.34689.34689.34689.34
Intangibles Net 1,128.71865.88608.16478.78
Long Term Investments 4,95,156.893,78,960.153,11,110.812,60,794.05
Insurance Receivables 59,738.6034,586.4030,048.1025,121.20
Note Receivable- Long Term 435.8410,366.782,091.372,010.11
Other Long Term Assets Total 7,649.813,807.161,267.041,401.30
Other Assets Total 17,302.921,829.378,493.487,218.26
Total Assets 5,37,929.634,05,509.193,33,718.962,80,164.32
Accounts Payable 6,277.423,829.133,241.552,425.02
Notes Payable/ Short Term Debt 60,150.9256,572.5541,922.1434,614.77
Other Currentliabilities Total 2,292.162,580.332,160.292,185.00
Long Term Debt 2,27,447.911,19,577.3993,985.7175,530.66
Capital Lease Obligations 1,333.79823.69664.78547.84
Total Long Term Debt 2,28,781.701,20,401.0894,650.4976,078.50
Total Debt 2,88,932.622,12,264.971,61,179.181,28,460.85
Deferred Income Tax 514.49108.04305.75319.61
Minority Interest 43,447.2131,190.7426,073.1222,463.98
Other Liabilities Total 1,36,137.091,07,688.9599,696.5186,697.70
Total Liabilities 4,77,600.993,59,101.852,93,472.162,44,334.32
Common Stock Total 159.41159.2679.5779.57
Retained Earnings( Accumulated Deficit) 60,169.2336,647.7730,696.5526,571.58
Total Equity 60,328.6446,407.3440,246.8035,830.00
Total Liabilities Shareholders' Equity 5,37,929.634,05,509.193,33,718.962,80,164.32
Total Common Shares Outstanding 159.26159.26159.14159.14
Tangible Book Valueper Share Common Eq 367.40281.62244.75217.81
Cash -2,162.881,327.362,065.08
Total Receivables Net -1.041.492.17
Property/ Plant/ Equipment Total- Gross -4,978.324,105.983,584.64
Accumulated Depreciation Total --2,102.95-1,794.32-1,531.11
Accrued Expenses -63.5448.3729.19
Policy Liabilities -13,761.507,673.9017,529.70
Current Portof LT Debt/ Capital Leases -35,291.3424,606.5517,767.58
Additional Paid- In Capital -9,676.539,611.929,425.19
Treasury Stock- Common --1,174.80-1,199.70-1,842.20
Unrealized Gain( Loss) --1.49-4.31-24.32
Other Equity Total -42.75-16.96-37.80
*All figures in crores except per share values
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