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Company Information

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GRASIM INDUSTRIES LTD.

17 July 2026 | 12:00

Industry >> Cement

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ISIN No INE047A01021 BSE Code / NSE Code 500300 / GRASIM Book Value (Rs.) 1,520.45 Face Value 2.00
Bookclosure 07/08/2026 52Week High 3246 EPS 72.98 P/E 42.61
Market Cap. 211621.67 Cr. 52Week Low 2503 P/BV / Div Yield (%) 2.05 / 0.32 Market Lot 1.00
Security Type Other

Balance Sheet

You can view the Balance Sheet for the last 5 years.
(Rs. in Crs.)
ParticularsMar 26Mar 25Mar 24Mar 23Mar 22
Months1212121212
Source Of Info (AR = Annual Report, PR = Press Release)ARARARARAR
FaceValue2.002.002.002.002.00
No. of Equity Shares (in Lacs)6805.816805.816584.796584.326582.95
------------
EQUITIES AND LIABILITIES----------
SHAREHOLDER'S FUNDS----------
Equity Share Capital136.11136.11132.80131.68131.66
Preference Share Capital11.0011.0011.1911.1911.19
Total Share Capital147.11147.11143.99142.87142.85
------------
Reserves and Surplus103333.8197373.1287975.8178196.7375261.73
Total Reserves and Surplus103333.8197373.1287975.8178196.7375261.73
Employees Stock Options0.000.00543.79410.57301.83
Total Shareholders Funds103480.9297520.2388663.5978750.1775706.41
Share Capital Suspense0.000.000.000.010.01
Hybrid/Debt/Other Securities0.000.000.003.003.00
Minority Interest66395.3360303.6050285.9844170.8340476.48
Policy Holders Funds107377.5698350.5382617.7967012.0357705.64
------------
NON-CURRENT LIABILITIES----------
Long Term Borrowings156817.62123916.0986105.2866701.2746534.77
Deferred Tax Liabilities [Net]13124.4312486.939416.678443.388526.67
Other Long Term Liabilities2990.032858.062148.431825.541824.44
Long Term Provisions1163.021074.02868.50765.81732.94
Total Non-Current Liabilities174095.10140335.1098538.8877736.0057618.82
------------
CURRENT LIABILITIES----------
Short Term Borrowings68119.2059721.6048985.7434635.4626457.29
Trade Payables18040.8215438.0915357.0613353.2711393.44
Other Current Liabilities30872.3527540.5526864.0920821.7919218.00
Short Term Provisions1173.281326.001225.95722.47815.74
Total Current Liabilities118205.65104026.2492432.8469532.9957884.47
------------
Total Capital And Liabilities569554.56500535.70412539.08337205.03289394.83
------------
ASSETS----------
NON-CURRENT ASSETS----------
Tangible Assets115542.78107082.5072037.4966166.9360042.21
Intangible Assets12313.0612696.588302.928591.898895.41
Capital Work-In-Progress15876.7014609.6618229.227730.186572.18
Intangible Assets Under Development587.82155.35128.3047.5042.94
Fixed Assets144320.36134544.0998697.9382536.5075552.74
Goodwill On Consolidation21595.9621368.6920153.7820137.5520058.50
Non-Current Investments96821.52119660.3775023.7160043.1751883.98
Deferred Tax Assets [Net]420.45495.27422.59382.26246.04
Long Term Loans And Advances150501.19121077.2491749.4070871.1251954.12
Other Non-Current Assets42683.129779.8840103.968869.126794.43
Total Non-Current Assets456342.60406925.54326151.37242839.72206489.81
------------
------------
CURRENT ASSETS----------
Current Investments17742.7220835.7318276.6014806.3314722.09
Inventories15428.5615614.4213544.7811159.159536.42
Trade Receivables10969.569158.636979.405915.105429.36
Cash And Cash Equivalents6188.267905.424648.763713.383252.55
Short Term Loans And Advances43942.7931572.5731171.6822342.0814247.01
OtherCurrentAssets18940.078523.3911766.4936429.2735717.59
Total Current Assets113211.9693610.1686387.7194365.3182905.02
------------
Total Assets569554.56500535.70412539.08337205.03289394.83
------------
OTHER INFORMATION----------
------------
CONTINGENT LIABILITIES, COMMITMENTS----------
Contingent Liabilities20069.9316240.7715428.3617863.6128947.80
------------
BONUS DETAILS----------
Bonus Equity Share Capital29.5329.5329.5329.5329.53
------------
NON-CURRENT INVESTMENTS----------
Non-Current Investments Quoted Market Value80391.83108573.2712995.7847556.6442955.37
Non-Current Investments Unquoted Book Value4261.702998.582175.471209.502127.66
------------
CURRENT INVESTMENTS----------
Current Investments Quoted Market Value10153.6610741.25473.611921.642842.89
Current Investments Unquoted Book Value7591.1710117.3816363.0412873.8911825.47