Imagicaaworld Balance Sheet Annual

Trade
BSE: 539056 | NSE: IMAGICAA | ISIN: INE172N01012 | Sector: Recreational Activities
71.60 -0.34 (-0.47%)Updated : 25 Nov 2024
Fiscal Period2024202320222021
Period End DateMar 24Mar 23Mar 22Mar 21
Cash 105.7465.006.122.68
Cashand Short Term Investments 105.7465.006.122.68
Accounts Receivable- Trade Net 4.134.593.352.02
Total Receivables Net 13.4311.187.3012.50
Total Inventory 15.9814.89114.0592.20
Other Current Assets Total 10.5813.4811.411.18
Total Current Assets 145.73104.55138.87110.10
Property/ Plant/ Equipment Total- Net 730.10796.45724.25811.53
Intangibles Net 1.422.636.919.28
Long Term Investments 21.146.090.43-
Other Long Term Assets Total 199.30196.922.320.44
Total Assets 1,097.681,106.65872.78934.58
Accounts Payable 23.7322.8825.3532.36
Notes Payable/ Short Term Debt 252.12592.371,077.591,077.51
Current Portof LT Debt/ Capital Leases 0.050.020.12-
Other Currentliabilities Total 27.2242.75630.2424.49
Total Current Liabilities 303.12658.011,733.301,552.05
Long Term Debt 0.00213.36--
Total Long Term Debt 0.00213.360.000.00
Total Debt 252.18805.751,077.711,077.51
Other Liabilities Total 0.090.110.530.73
Total Liabilities 303.21871.481,733.831,552.78
Common Stock Total 481.90411.5388.4488.06
Retained Earnings( Accumulated Deficit) 312.57-176.37-949.48-1,549.71
Total Equity 794.47235.16-861.05-618.20
Total Liabilities Shareholders' Equity 1,097.681,106.65872.78934.58
Total Common Shares Outstanding 48.1941.158.848.81
Tangible Book Valueper Share Common Eq 16.465.65-98.14-71.40
Prepaid Expenses ---1.54
Property/ Plant/ Equipment Total- Gross ---1,601.89
Accumulated Depreciation Total ----790.41
Goodwill Net ---1.26
Note Receivable- Long Term ---1.98
Accrued Expenses ---417.69
Additional Paid- In Capital ---842.50
Other Equity Total ---0.94
*All figures in crores except per share values
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