Dr. Reddy's Laboratories Limited (FRA:RDDA)
Germany flag Germany · Delayed Price · Currency is EUR
10.90
0.00 (0.00%)
At close: Jan 30, 2026

Dr. Reddy's Laboratories 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
18,65714,6547,1075,77914,85214,829
Short-Term Investments
63,93243,25474,36356,01829,51319,744
Cash & Short-Term Investments
82,58957,90881,47061,79744,36534,573
Cash Growth
37.83%-28.92%31.84%39.29%28.32%34.32%
Accounts Receivable
103,20690,42080,29872,48566,76449,641
Other Receivables
9682,9672,9081,4515,0514,815
Receivables
104,17493,38783,20673,93671,81554,456
Inventory
79,00971,08563,55248,67050,88445,412
Prepaid Expenses
2,0551,8831,9471,4521,1381,141
Other Current Assets
29,72225,84917,87418,39813,65412,667
Total Current Assets
297,549250,112248,049204,253181,856148,249
Property, Plant & Equipment
115,54497,76176,88666,46262,16957,111
Long-Term Investments
9,95015,2025,2555,3627,9868,333
Goodwill
12,41011,8104,2534,2454,4184,568
Other Intangible Assets
102,31796,80336,95130,84927,24635,648
Long-Term Accounts Receivable
----54118
Long-Term Deferred Tax Assets
21,24718,50810,7747,1968,20410,630
Other Long-Term Assets
3,8822,7935,3503,487894834
Total Assets
562,899492,989387,518321,854292,827265,491
Accounts Payable
40,79620,05321,54717,85715,97112,696
Accrued Expenses
38,16143,86440,49438,71636,08331,809
Short-Term Debt
50,28638,04512,7237,39027,08223,145
Current Portion of Long-Term Debt
3,800--3,800--
Current Portion of Leases
2,0388571,3071,0041,017864
Current Income Taxes Payable
5,5953,0282,3422,1441,6151,389
Current Unearned Revenue
1,7801,9831,4351,9812,5762,033
Other Current Liabilities
15,85422,56216,19112,9539,67111,455
Total Current Liabilities
158,310130,39296,03985,84594,01583,391
Long-Term Debt
-3,8003,800-3,8003,800
Long-Term Leases
11,6084,0642,1901,2781,9462,499
Long-Term Unearned Revenue
1,7071,1621,1931,5551,5971,531
Long-Term Deferred Tax Liabilities
14,77514,10890983360338
Other Long-Term Liabilities
7432,2972,8371,352882870
Total Liabilities
187,143155,823106,96890,863102,30092,429
Common Stock
835834834833832832
Additional Paid-In Capital
11,33111,13310,7659,6889,2808,887
Retained Earnings
349,783315,793265,910216,479176,467157,349
Treasury Stock
-1,904-2,264-991-1,269-1,601-1,967
Comprehensive Income & Other
12,3217,8924,0325,2605,5497,961
Total Common Equity
372,366333,388280,550230,991190,527173,062
Minority Interest
3,3903,778----
Shareholders' Equity
375,756337,166280,550230,991190,527173,062
Total Liabilities & Equity
562,899492,989387,518321,854292,827265,491
Total Debt
67,73246,76620,02013,47233,84530,308
Net Cash (Debt)
14,85711,14261,45048,32510,5204,265
Net Cash Growth
68.12%-81.87%27.16%359.36%146.66%17.23%
Net Cash Per Share
17.8413.3673.7258.0912.655.13
Filing Date Shares Outstanding
832.57832832.64830.78829.79828.63
Total Common Shares Outstanding
832.57832832.64830.78829.79828.63
Working Capital
139,239119,720152,010118,40887,84164,858
Book Value Per Share
447.25400.71336.94278.04229.61208.85
Tangible Book Value
257,639224,775239,346195,897158,863132,846
Tangible Book Value Per Share
309.45270.16287.45235.80191.45160.32
Land
-4,1564,2244,2344,1544,147
Buildings
-28,33527,99226,51924,66323,634
Machinery
-125,303117,082107,20595,10085,470
Construction In Progress
-24,83714,4629,95613,3059,778
Source: S&P Global Market Intelligence. Standard template. Financial Sources.