Hindalco Industries Limited (NSE:HINDALCO)
India flag India · Delayed Price · Currency is INR
924.70
-16.60 (-1.76%)
At close: Feb 27, 2026

Hindalco Industries 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
-98,080118,160128,400116,39083,390
Short-Term Investments
-45,17034,21029,78067,2406,760
Trading Asset Securities
-96,69029,04055,14050,60092,200
Cash & Short-Term Investments
252,580239,940181,410213,320234,230182,350
Cash Growth
40.50%32.26%-14.96%-8.93%28.45%-34.11%
Accounts Receivable
-198,340164,040162,140210,760129,590
Other Receivables
-13,0207,1705,3407,8909,380
Receivables
-211,430171,530167,560218,720139,440
Inventory
-488,010408,120429,580444,830306,680
Prepaid Expenses
-8,8507,53010,8909,2205,830
Restricted Cash
-51090901101,120
Other Current Assets
-70,85054,75071,67078,32040,960
Total Current Assets
-1,019,590823,430893,110985,430676,380
Property, Plant & Equipment
-1,112,600942,890858,700811,970808,620
Long-Term Investments
-136,280144,290100,09086,87077,160
Goodwill
-266,830260,750257,450239,650233,170
Other Intangible Assets
-59,65062,67066,91066,36062,710
Long-Term Accounts Receivable
-----530
Long-Term Deferred Tax Assets
-16,91011,84013,28012,0709,240
Other Long-Term Assets
-47,99073,13054,63027,77029,530
Total Assets
-2,659,9102,319,0702,248,1702,230,6201,897,460
Accounts Payable
-406,320328,580358,600413,820282,350
Accrued Expenses
-54,91049,76034,51039,47034,250
Short-Term Debt
-71,980113,810113,38078,82062,870
Current Portion of Long-Term Debt
-2,2902,00013,47061,7709,640
Current Portion of Leases
-3,7504,2404,6502,7903,000
Current Income Taxes Payable
-35,45024,52020,99021,20021,260
Current Unearned Revenue
-7,8107,6505,9105,9404,300
Other Current Liabilities
-72,65062,95053,070149,55067,360
Total Current Liabilities
-655,160593,510604,580773,360485,030
Long-Term Debt
-562,170473,950514,340516,350589,850
Long-Term Leases
-16,23014,31014,9109,7209,280
Long-Term Unearned Revenue
-16,23015,82017,17017,79013,610
Pension & Post-Retirement Benefits
-55,38056,17056,04064,12074,720
Long-Term Deferred Tax Liabilities
-104,71093,44086,50056,31045,300
Other Long-Term Liabilities
-12,82010,3006,46010,95014,240
Total Liabilities
-1,422,7001,257,5001,300,0001,448,6001,232,030
Common Stock
-2,2502,2502,2502,2502,250
Additional Paid-In Capital
-82,35082,35082,34082,34082,250
Retained Earnings
-941,840789,470696,060582,000441,670
Treasury Stock
--4,540-3,800-3,090-2,020-1,320
Comprehensive Income & Other
-215,190191,190170,500117,340140,480
Total Common Equity
1,348,6601,237,0901,061,460948,060781,910665,330
Minority Interest
-120110110110100
Shareholders' Equity
1,348,7801,237,2101,061,570948,170782,020665,430
Total Liabilities & Equity
-2,659,9102,319,0702,248,1702,230,6201,897,460
Total Debt
776,500656,420608,310660,750669,450674,640
Net Cash (Debt)
-523,920-416,480-426,900-447,430-435,220-492,290
Net Cash Per Share
-235.56-187.17-191.92-201.02-195.43-221.21
Filing Date Shares Outstanding
2,2202,2202,2212,2222,2242,225
Total Common Shares Outstanding
2,2202,2202,2212,2222,2242,225
Working Capital
-364,430229,920288,530212,070191,350
Book Value Per Share
607.50557.14478.00426.74351.61299.09
Tangible Book Value
1,008,280910,610738,040623,700475,900369,450
Tangible Book Value Per Share
454.18410.10332.36280.74214.00166.08
Land
-39,10037,97034,05032,53031,380
Buildings
-312,550280,670270,050250,810224,190
Machinery
-1,185,9201,109,6401,053,960991,640914,280
Construction In Progress
-270,230145,91073,40047,270100,130
Leasehold Improvements
-5,4806,3906,2804,8104,320
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.