Avenue Supermarts Limited (BOM:540376)
India flag India · Delayed Price · Currency is INR
3,908.10
-54.25 (-1.37%)
At close: Feb 13, 2026

Avenue Supermarts Balance Sheet

Millions INR. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Mar '25 Mar '24 Mar '23 Mar '22 Mar '21
Cash & Equivalents
-3,5553,3712,072951.21,915
Short-Term Investments
-3,38713,41414,0252,08512,562
Cash & Short-Term Investments
2,1046,94116,78616,0963,03714,477
Cash Growth
-46.28%-58.65%4.28%430.09%-79.03%1089.52%
Accounts Receivable
-1,5381,664621.6668.9435.8
Other Receivables
-224.8434.32,0314.6726.6
Receivables
-1,7632,0982,653673.51,162
Inventory
-50,44439,27332,43527,42722,483
Prepaid Expenses
-217.5156126.110860.6
Other Current Assets
-4,5573,7083,1743,1842,429
Total Current Assets
-63,92262,02054,48434,42940,611
Property, Plant & Equipment
-171,909142,335120,597102,88579,183
Long-Term Investments
-26.21,0160.110,35210,350
Goodwill
-782.7782.7782.7782.7782.7
Other Intangible Assets
-289.8303.5231.8136.1222.2
Long-Term Deferred Tax Assets
-75.147.217.716.69.2
Other Long-Term Assets
-6,1985,2674,9506,1265,401
Total Assets
-243,203211,772181,063154,726136,560
Accounts Payable
-10,7089,8487,5385,8925,781
Accrued Expenses
-2,6932,1612,1091,4161,183
Current Portion of Leases
-2,6381,9291,6631,398807
Current Income Taxes Payable
-2,4112,548853.91,1161,127
Other Current Liabilities
-3,6713,3052,5062,3612,160
Total Current Liabilities
-22,12219,79114,67012,18311,058
Long-Term Leases
-5,5583,9924,7675,0723,120
Pension & Post-Retirement Benefits
-126.791.864.148.724.5
Long-Term Deferred Tax Liabilities
-1,125919.3769.6640.3511.9
Other Long-Term Liabilities
-4.93.74.74.14.4
Total Liabilities
-28,93624,79920,27517,94814,719
Common Stock
-6,5076,5076,4836,4786,478
Additional Paid-In Capital
-61,13561,13560,14259,94659,946
Retained Earnings
-145,960118,96793,69469,95955,083
Comprehensive Income & Other
-676368.8468.4394.4330.3
Total Common Equity
228,896214,278186,978160,787136,776121,837
Minority Interest
--10.5-4.80.82.54
Shareholders' Equity
228,883214,267186,973160,788136,779121,841
Total Liabilities & Equity
-243,203211,772181,063154,726136,560
Total Debt
16,0928,1965,9226,4306,4693,927
Net Cash (Debt)
-13,988-1,25510,8649,666-3,43310,549
Net Cash Growth
--12.39%---
Net Cash Per Share
-21.44-1.9216.6714.83-5.2616.17
Filing Date Shares Outstanding
650.89650.73650.73648.26647.77647.77
Total Common Shares Outstanding
650.89650.73650.73648.26647.77647.77
Working Capital
-41,80042,22939,81422,24629,554
Book Value Per Share
351.86329.29287.33248.03211.15188.09
Tangible Book Value
227,763213,205185,892159,773135,858120,832
Tangible Book Value Per Share
350.12327.64285.67246.46209.73186.53
Land
-75,28858,43745,68936,91128,467
Buildings
-66,15858,03250,28939,42030,235
Machinery
-29,98423,59518,72114,64410,973
Construction In Progress
-10,9949,3528,29211,29310,196
Leasehold Improvements
-1,6121,3281,2891,078810.1
Source: S&P Global Market Intelligence. Standard template. Financial Sources.