Sambhv Steel Tubes Limited (BOM:544430)
India flag India · Delayed Price · Currency is INR
124.35
-3.44 (-2.69%)
At close: Aug 1, 2025

Catalent Balance Sheet

Millions INR. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 20212021
Period Ending
Jun '25 Mar '25 Mar '24 Mar '23 Mar '22 Mar '21 2021
Cash & Equivalents
-52.0475.841.9714.728.04
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Short-Term Investments
--330.1767.2169.1759.54
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Cash & Short-Term Investments
-52.04406.0169.1883.8967.58
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Cash Growth
--87.18%486.89%-17.54%24.13%16.92%
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Accounts Receivable
-1,472940.97345.650.51.16
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Other Receivables
--14.592.96157.7175.96
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Receivables
-1,480960.21350.38158.2177.12
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Inventory
-2,5391,4911,4141,618688.72
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Prepaid Expenses
--19.5311.58.894.07
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Other Current Assets
-1,170276.78218.18135.5994.4
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Total Current Assets
-5,2413,1532,0642,005931.88
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Property, Plant & Equipment
-8,3495,5233,1552,5161,734
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Long-Term Investments
-308.9723.9220.128.133.24
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Goodwill
-5.57----
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Other Intangible Assets
-0.230.511.281.872.15
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Other Long-Term Assets
-137.69699.45280.350.6631.63
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Total Assets
-14,0469,4015,5214,5822,703
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Accounts Payable
-3,247977.68282.85210.61109.36
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Accrued Expenses
--105.0467.65162.3882.87
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Short-Term Debt
--1,279797.29784.54239.9
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Current Portion of Long-Term Debt
-1,741375.44340.51263.34168.89
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Current Portion of Leases
-2.521.290.45--
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Current Income Taxes Payable
--69.056.72120.0110.43
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Current Unearned Revenue
--83.5124.18--
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Other Current Liabilities
-454.5376.3334.9366.0788.11
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Total Current Liabilities
-5,4452,9671,5551,607699.55
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Long-Term Debt
-3,3031,8141,6901,3661,171
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Long-Term Leases
-20.2335.3522.36--
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Long-Term Deferred Tax Liabilities
-302.22187.5142.07100.0353.21
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Other Long-Term Liabilities
-21.711.170.59-0-
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Total Liabilities
-9,0925,0193,4173,0731,924
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Common Stock
-2,4102,410200.9200.9200.9
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Additional Paid-In Capital
---66.6766.6766.67
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Retained Earnings
--1,9731,8361,241511.83
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Comprehensive Income & Other
-2,543----
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Shareholders' Equity
-4,9534,3832,1041,509779.39
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Total Liabilities & Equity
-14,0469,4015,5214,5822,703
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Total Debt
-5,0673,5052,8512,4141,580
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Net Cash (Debt)
--5,015-3,099-2,781-2,330-1,512
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Net Cash Per Share
--20.84-14.25-13.84-11.60-7.53
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Filing Date Shares Outstanding
240.22240.29241200.9200.9200.9
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Total Common Shares Outstanding
240.22240.29241200.9200.9200.9
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Working Capital
--204.29185.74509.13398.09232.33
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Book Value Per Share
-20.6118.1910.477.513.88
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Tangible Book Value
-4,9484,3822,1031,507777.24
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Tangible Book Value Per Share
-20.5918.1810.477.503.87
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Land
--58.3149.0548.6748.67
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Buildings
--529.59425.08333.29130.21
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Machinery
--3,1092,6022,1731,067
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Construction In Progress
--2,156215.08166.96596.28
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Source: S&P Global Market Intelligence. Standard template. Financial Sources.