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Radico Khaitan Ltd
NSE:RADICO

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Radico Khaitan Ltd
NSE:RADICO
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Price: 2 593.5 INR -4.29% Market Closed
Market Cap: ₹347.2B

Balance Sheet

Balance Sheet Decomposition
Radico Khaitan Ltd

Balance Sheet
Radico Khaitan Ltd

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Balance Sheet
Currency: INR
Mar-2002 Mar-2003 Mar-2004 Mar-2005 Mar-2006 Mar-2007 Mar-2008 Mar-2009 Mar-2010 Mar-2011 Mar-2012 Mar-2013 Mar-2014 Mar-2015 Mar-2016 Mar-2017 Mar-2018 Mar-2019 Mar-2020 Mar-2021 Mar-2022 Mar-2023 Mar-2024 Mar-2025
Assets
Cash & Cash Equivalents
43
47
24
68
43
3
138
153
263
54
96
140
129
88
74
81
168
83
101
1 211
1 012
1 221
1 006
577
Cash
0
0
0
0
0
3
138
153
263
59
103
140
129
88
74
81
168
83
0
0
1 012
1 221
862
402
Cash Equivalents
43
47
24
68
43
0
0
0
0
5
7
0
0
0
0
0
0
0
101
1 211
0
0
144
175
Short-Term Investments
0
0
0
0
0
0
0
0
0
529
530
487
480
709
576
491
479
13
17
6
29
55
100
129
Total Receivables
749
1 042
1 376
1 629
2 351
3 237
3 541
4 023
4 809
5 471
5 840
7 384
9 506
8 329
9 329
7 716
8 028
7 982
9 770
8 420
9 069
9 317
10 652
12 711
Accounts Receivables
367
500
558
617
905
1 420
1 511
1 857
2 479
3 191
3 478
4 529
5 384
5 265
6 109
6 390
6 391
6 490
8 272
7 034
7 631
8 303
9 806
11 881
Other Receivables
382
542
818
1 012
1 446
1 817
2 030
2 166
2 330
2 280
2 362
2 855
4 122
3 064
3 220
1 326
1 637
1 492
1 498
1 386
1 438
1 014
847
830
Inventory
217
172
289
607
638
738
768
1 084
1 230
1 269
1 774
1 849
2 103
2 568
2 741
2 930
3 109
3 597
3 742
4 891
5 369
7 410
8 260
11 218
Other Current Assets
0
0
0
0
0
2 087
886
458
467
552
1 566
144
185
413
387
421
607
606
624
809
637
720
734
785
Total Current Assets
1 010
1 261
1 689
2 304
3 032
6 064
5 333
5 718
6 770
7 875
9 807
10 004
12 402
12 105
13 106
11 639
12 389
12 254
14 221
15 325
16 117
18 723
20 609
25 245
PP&E Net
644
778
966
1 349
2 061
2 766
3 389
4 313
4 215
3 944
4 629
4 919
5 388
7 053
7 064
6 851
6 879
7 139
7 476
8 362
8 402
15 518
17 463
18 271
PP&E Gross
0
0
0
0
0
0
0
0
0
0
0
4 919
5 388
0
0
6 851
6 879
7 139
7 476
8 362
8 402
15 518
17 463
18 271
Accumulated Depreciation
0
0
0
0
0
0
0
0
0
0
0
1 857
2 168
0
0
750
1 063
1 400
1 777
2 270
2 840
3 120
4 160
5 483
Intangible Assets
15
42
43
240
465
440
416
392
387
463
385
370
350
290
249
209
178
160
139
115
107
93
82
70
Goodwill
0
0
0
91
86
81
76
72
67
0
57
59
48
0
0
0
0
0
0
0
0
0
0
0
Note Receivable
0
0
0
0
0
0
0
0
0
657
708
2 080
1 365
164
562
1 772
1 248
1 169
1 178
408
570
743
371
348
Long-Term Investments
89
89
86
0
24
253
336
526
894
678
584
584
584
1 672
1 715
1 705
1 723
1 775
1 795
1 850
1 770
1 925
2 013
2 004
Other Long-Term Assets
177
223
141
78
28
0
0
0
0
56
153
15
20
1 087
556
168
42
16
19
162
846
189
413
451
Other Assets
0
0
0
91
86
81
76
72
67
0
57
59
48
0
0
0
0
0
0
0
0
0
0
0
Total Assets
1 935
N/A
2 393
+24%
2 924
+22%
4 062
+39%
5 697
+40%
9 604
+69%
9 550
-1%
11 021
+15%
12 332
+12%
13 674
+11%
16 323
+19%
18 030
+10%
20 157
+12%
22 371
+11%
23 252
+4%
22 344
-4%
22 459
+1%
22 514
+0%
24 828
+10%
26 221
+6%
27 812
+6%
37 191
+34%
40 950
+10%
46 390
+13%
Liabilities
Accounts Payable
0
0
0
0
0
376
336
461
0
840
1 174
1 172
1 276
1 565
1 760
1 853
2 141
2 448
2 642
2 619
3 043
2 749
2 480
3 125
Accrued Liabilities
0
0
0
0
0
24
19
16
12
52
69
59
73
70
95
88
69
64
87
83
82
312
340
424
Short-Term Debt
0
0
0
0
0
0
0
0
0
2 649
2 777
3 054
4 056
4 738
6 201
5 509
4 878
3 016
3 974
2 718
1 848
3 677
5 236
6 928
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
0
0
1 818
342
261
338
1 108
1 439
1 448
699
138
64
54
43
539
1 558
1 676
Other Current Liabilities
382
475
528
627
630
510
939
882
1 443
825
1 272
1 429
1 609
1 973
1 393
1 187
1 726
2 123
1 667
1 793
1 522
3 735
2 506
3 291
Total Current Liabilities
382
475
528
627
630
909
1 294
1 359
1 455
6 184
5 633
5 977
7 351
9 455
10 888
10 085
9 513
7 789
8 434
7 268
6 538
11 012
12 120
15 444
Long-Term Debt
876
998
1 351
2 146
3 420
6 102
5 400
7 004
4 461
440
3 384
4 140
4 236
3 210
1 958
1 033
344
217
52
110
125
3 320
3 512
2 422
Deferred Income Tax
0
176
169
205
219
264
322
367
451
498
563
588
695
505
550
693
925
1 040
785
802
769
777
919
985
Other Liabilities
12
7
5
1
0
0
0
0
0
39
58
44
64
66
83
91
108
110
128
112
112
2
2
2
Total Liabilities
1 271
N/A
1 656
+30%
2 053
+24%
2 979
+45%
4 269
+43%
7 276
+70%
7 016
-4%
8 729
+24%
6 368
-27%
7 160
+12%
9 639
+35%
10 749
+12%
12 346
+15%
13 236
+7%
13 479
+2%
11 903
-12%
10 890
-9%
9 157
-16%
9 399
+3%
8 292
-12%
7 543
-9%
15 112
+100%
16 554
+10%
18 852
+14%
Equity
Common Stock
154
193
193
193
193
770
205
205
264
265
265
266
266
266
266
266
267
267
267
267
267
267
267
268
Retained Earnings
343
405
544
756
1 102
1 282
1 446
1 450
1 773
2 360
2 873
3 521
4 109
5 117
5 755
6 420
7 517
9 294
11 352
13 848
16 162
17 945
20 174
23 190
Additional Paid In Capital
38
38
37
37
37
167
763
557
3 796
3 787
3 717
3 733
3 747
3 747
3 747
3 747
3 781
3 793
3 808
3 812
3 826
3 826
3 887
4 010
Unrealized Security Profit/Loss
129
100
97
97
96
95
95
94
93
93
92
92
91
0
0
0
0
0
0
0
0
0
0
0
Other Equity
0
0
0
0
0
15
25
14
39
9
263
330
402
4
5
8
4
4
2
2
13
41
67
70
Total Equity
664
N/A
737
+11%
871
+18%
1 083
+24%
1 428
+32%
2 328
+63%
2 534
+9%
2 292
-10%
5 965
+160%
6 514
+9%
6 684
+3%
7 282
+9%
7 811
+7%
9 135
+17%
9 773
+7%
10 441
+7%
11 568
+11%
13 357
+15%
15 429
+16%
17 929
+16%
20 269
+13%
22 079
+9%
24 396
+10%
27 537
+13%
Total Liabilities & Equity
1 935
N/A
2 393
+24%
2 924
+22%
4 062
+39%
5 697
+40%
9 604
+69%
9 550
-1%
11 021
+15%
12 332
+12%
13 674
+11%
16 323
+19%
18 030
+10%
20 157
+12%
22 371
+11%
23 252
+4%
22 344
-4%
22 459
+1%
22 514
+0%
24 828
+10%
26 221
+6%
27 812
+6%
37 191
+34%
40 950
+10%
46 390
+13%
Shares Outstanding
Common Shares Outstanding
96
96
96
96
96
96
102
102
132
133
133
133
133
133
133
133
133
133
134
134
134
134
134
134
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