Rajoo Engineers Limited (NSE:RAJOOENG)
India flag India · Delayed Price · Currency is INR
143.55
+12.35 (9.41%)
Last updated: Jul 15, 2025

Rajoo Engineers Balance Sheet

Millions INR. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 20212016 - 2020
Period Ending
Jun '25 Mar '25 Mar '24 Mar '23 Mar '22 Mar '21 2016 - 2020
Cash & Equivalents
-868.1821.73157.8112.5745.07
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Short-Term Investments
--303.35369.85311.75146.34
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Trading Asset Securities
-----31.87
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Cash & Short-Term Investments
868.18868.18325.08527.66424.32223.27
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Cash Growth
167.07%167.07%-38.39%24.35%90.04%127.72%
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Accounts Receivable
-150.89158.26165.0672.71143.07
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Other Receivables
-65.7590.4213.7570.62115.41
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Receivables
-218.27249.8180.26145.71263.02
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Inventory
-1,3041,030565.64569.42590.97
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Prepaid Expenses
--18.912.7312.8917.55
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Other Current Assets
-133.115436.7929.6548.85
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Total Current Assets
-2,5231,6781,3231,1821,144
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Property, Plant & Equipment
-542.36466.49381.12400.64413.49
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Long-Term Investments
-160.3111785.70.860.3
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Goodwill
--3.523.523.523.52
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Other Intangible Assets
-13.894.926.6110.1613.01
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Other Long-Term Assets
-4.274.043.143.575.54
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Total Assets
-3,2442,2741,8031,6011,580
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Accounts Payable
-300.34295.41198.97222.89251.67
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Accrued Expenses
--34.0538.9323.3823.95
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Short-Term Debt
--13.1115.22-6.86
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Current Portion of Long-Term Debt
----2.816.87
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Current Income Taxes Payable
-29.76-3.5623.2547.11
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Current Unearned Revenue
--0.110.14-334.56
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Other Current Liabilities
-1,236620.96413.86301.0715.98
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Total Current Liabilities
-1,566963.63670.68573.39696.98
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Long-Term Debt
-----7.2
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Long-Term Leases
-2.743.584.3--
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Long-Term Deferred Tax Liabilities
-38.9737.5238.0337.7642.1
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Other Long-Term Liabilities
-3.672.151.11.31-
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Total Liabilities
-1,6121,007714.11612.46746.28
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Common Stock
-16461.5161.5361.5361.53
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Additional Paid-In Capital
--113.38118.88118.88118.88
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Retained Earnings
--1,083899.15799.56648.53
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Comprehensive Income & Other
-1,4688.859.58.34.31
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Shareholders' Equity
1,6321,6321,2671,089988.27833.25
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Total Liabilities & Equity
-3,2442,2741,8031,6011,580
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Total Debt
2.742.7416.6819.522.830.92
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Net Cash (Debt)
865.45865.45308.39508.14421.52192.35
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Net Cash Growth
180.63%180.63%-39.31%20.55%119.14%1052.61%
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Net Cash Per Share
5.275.271.883.102.571.17
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Filing Date Shares Outstanding
163.23164.61164.01164.08164.08164.08
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Total Common Shares Outstanding
163.23164.61164.01164.08164.08164.08
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Working Capital
-956.67713.93652.4608.59446.68
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Book Value Per Share
9.929.927.726.646.025.08
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Tangible Book Value
1,6181,6181,2581,079974.59816.72
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Tangible Book Value Per Share
9.839.837.676.585.944.98
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Land
--46.2936.2536.2536.25
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Buildings
--208.63165.23164.37162.47
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Machinery
--545.46505.58502.85495.28
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Construction In Progress
--50.0325.5925.5217.46
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Source: S&P Global Market Intelligence. Standard template. Financial Sources.