Chembond Chemicals Limited (BOM:544450)
India flag India · Delayed Price · Currency is INR
158.00
-8.10 (-4.88%)
At close: Feb 13, 2026

Chembond Chemicals 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
-71.0265.0792.2689.7796.9
Trading Asset Securities
-354.4273.08277.89458.5376.3
Cash & Short-Term Investments
647.67425.42338.15370.15548.27473.2
Cash Growth
-25.81%-8.65%-32.49%15.87%42.87%
Accounts Receivable
-1,004771.851,152896.3835.32
Other Receivables
--3.3416.063.043.92
Receivables
-1,004775.441,173901.63842.76
Inventory
-183.34173.41362.84349.09319.19
Prepaid Expenses
-5.876.68.523.963.06
Other Current Assets
-210.17224.79285.79132.84192.2
Total Current Assets
-1,8291,5182,2001,9361,830
Property, Plant & Equipment
-211.15215.28536.37460.15463.97
Long-Term Investments
-67.7249.8431.98349.75395.89
Goodwill
---745.95748.95748.95
Other Intangible Assets
-2.674.23.264.886.29
Long-Term Deferred Tax Assets
-26.1431.2536.1722.6120.85
Other Long-Term Assets
-24.9211.3765.8388.2574.84
Total Assets
-2,1611,8304,0193,6103,541
Accounts Payable
-270.54271.15530.97390.96432.2
Accrued Expenses
-94.9277.85132.299.7988.15
Short-Term Debt
---65.25812.4
Current Income Taxes Payable
-10.38-5.531.39-
Other Current Liabilities
-4.612.3434.6439.7744.93
Total Current Liabilities
-380.44351.34768.6539.91577.68
Long-Term Debt
----7.066.41
Pension & Post-Retirement Benefits
-2.981.648.395.1812.67
Long-Term Deferred Tax Liabilities
-19.4125.363.73--
Other Long-Term Liabilities
-10.159.67.895.560
Total Liabilities
-412.99387.94788.61557.71596.76
Common Stock
-134.48134.4867.2467.2467.24
Additional Paid-In Capital
-3.873.8761.3161.3161.31
Retained Earnings
-1,5231,2143,0822,9062,799
Comprehensive Income & Other
-80.482.456.655.123.94
Total Common Equity
1,8481,7421,4353,2173,0402,932
Minority Interest
-6.137.3413.8513.1712.54
Shareholders' Equity
1,8531,7481,4423,2313,0532,944
Total Liabilities & Equity
-2,1611,8304,0193,6103,541
Total Debt
---65.2515.0618.81
Net Cash (Debt)
647.67425.42338.15304.9533.21454.39
Net Cash Growth
-25.81%10.90%-42.82%17.35%52.77%
Net Cash Per Share
24.0715.8212.5722.6739.6533.79
Filing Date Shares Outstanding
26.926.913.4513.4513.4513.45
Total Common Shares Outstanding
26.926.913.4513.4513.4513.45
Working Capital
-1,4481,1671,4311,3961,253
Book Value Per Share
68.6064.77106.71239.21225.99218.01
Tangible Book Value
1,8461,7391,4312,4682,2862,177
Tangible Book Value Per Share
68.5264.67106.39183.50169.94161.86
Land
-11.6711.6724.6424.6424.64
Buildings
-166.53166.53266.08276.78265.92
Machinery
-226.3183.88332.27359.2337.93
Construction In Progress
-3.031.71123.717.023.68
Source: S&P Global Market Intelligence. Standard template. Financial Sources.