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Company Information

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CSL FINANCE LTD.

13 March 2026 | 03:42

Industry >> Non-Banking Financial Company (NBFC)

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ISIN No INE718F01018 BSE Code / NSE Code 530067 / CSLFINANCE Book Value (Rs.) 264.24 Face Value 10.00
Bookclosure 13/09/2025 52Week High 380 EPS 31.64 P/E 7.62
Market Cap. 549.40 Cr. 52Week Low 227 P/BV / Div Yield (%) 0.91 / 1.24 Market Lot 1.00
Security Type Other

Balance Sheet

You can view the Balance Sheet for the last 5 years.
(Rs. in Crs.)
ParticularsMar 25Mar 24Mar 23Mar 22Mar 21
Months1212121212
Source Of Info (AR = Annual Report, PR = Press Release)ARARARARAR
FaceValue10.0010.0010.0010.0010.00
No. of Equity Shares (in Lacs)224.56224.36202.38203.0361.69
------------
EQUITIES AND LIABILITIES----------
SHAREHOLDER'S FUNDS----------
Equity Share Capital22.4622.4420.2420.306.13
Total Share Capital22.4622.4420.2420.306.13
------------
Reserves and Surplus519.19452.39339.73301.19248.43
Total Reserves and Surplus519.19452.39339.73301.19248.43
Money Received Against Share Warrants0.000.001.400.004.00
Employees Stock Options0.000.001.150.000.64
Total Shareholders Funds541.65474.83362.52321.49259.20
------------
NON-CURRENT LIABILITIES----------
Long Term Borrowings0.000.0041.9941.9642.11
Other Long Term Liabilities1.301.343.132.122.19
Long Term Provisions0.440.000.290.500.00
Total Non-Current Liabilities1.741.3445.4144.5944.31
------------
CURRENT LIABILITIES----------
Short Term Borrowings694.94503.22366.07162.2040.49
Other Current Liabilities6.745.954.753.943.53
Total Current Liabilities701.69509.17370.82166.1444.03
------------
Total Capital And Liabilities1245.07985.33778.74532.23347.53
------------
ASSETS----------
NON-CURRENT ASSETS----------
Tangible Assets7.816.826.975.682.88
Intangible Assets0.700.700.420.000.00
Intangible Assets Under Development0.080.150.000.170.00
Other Assets0.160.130.130.140.14
Fixed Assets8.757.817.535.993.02
Deferred Tax Assets [Net]1.111.051.171.170.83
Other Non-Current Assets2.770.690.100.120.56
Total Non-Current Assets12.639.558.807.284.41
------------
------------
CURRENT ASSETS----------
Cash And Cash Equivalents80.5163.3945.9516.3320.90
Short Term Loans And Advances1144.18909.25723.18507.85321.70
OtherCurrentAssets7.763.140.810.780.52
Total Current Assets1232.44975.78769.94524.96343.12
------------
Total Assets1245.07985.33778.74532.23347.53
------------
OTHER INFORMATION----------
------------
CONTINGENT LIABILITIES, COMMITMENTS----------
Contingent Liabilities0.000.000.000.000.97
------------
BONUS DETAILS----------
Bonus Equity Share Capital12.3412.3412.3412.340.00