Thirumalai Chemicals Limited (NSE:TIRUMALCHM)
India flag India · Delayed Price · Currency is INR
205.00
-2.29 (-1.10%)
Feb 19, 2026, 3:29 PM IST

Thirumalai 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
-1,8294,0563,4964,2492,266
Short-Term Investments
--62.51,076765.9771.8
Trading Asset Securities
--340.7-514.8200.5
Cash & Short-Term Investments
3,6991,8294,4594,5725,5303,238
Cash Growth
-11.52%-58.98%-2.46%-17.32%70.76%54.81%
Accounts Receivable
-1,9901,8321,0191,562872
Other Receivables
-123.5140.2156.625.718.1
Receivables
-2,1131,9721,1761,588890.1
Inventory
-2,4732,5083,1922,4201,315
Prepaid Expenses
-177.5145.3236.941.321
Other Current Assets
-3,0172,2541,349732.3265.8
Total Current Assets
-9,61011,33810,52510,3105,730
Property, Plant & Equipment
-26,03519,11110,7736,5956,382
Long-Term Investments
-1,9961,3941,3231,2901,160
Other Intangible Assets
-1.41.71.90.61.2
Other Long-Term Assets
-425.51,357978.5420.3159.9
Total Assets
-38,06833,20323,60218,61613,432
Accounts Payable
-4,4845,1634,9714,6432,295
Accrued Expenses
-177.4144.1204.6190.9182.2
Short-Term Debt
-3,0593,5082,936--
Current Portion of Long-Term Debt
----255.5245.5
Current Portion of Leases
-50.871.962.122.2-
Current Income Taxes Payable
--8.96.4218.736.7
Current Unearned Revenue
-29.933.727.4117.597.4
Other Current Liabilities
-1,4581,359448.2105.2151.4
Total Current Liabilities
-9,26010,2898,6555,5533,009
Long-Term Debt
-14,0078,1251,4761,3541,582
Long-Term Leases
-739.7812.3666.618.9-
Pension & Post-Retirement Benefits
-105.6106.387.184.276.2
Long-Term Deferred Tax Liabilities
-640.1709.7772.5731.5709.5
Other Long-Term Liabilities
-1,7591,69926.424.427.5
Total Liabilities
-26,51121,74111,6837,7665,403
Common Stock
-102.4102.4102.4102.4102.4
Additional Paid-In Capital
-197.1197.1197.1197.1197.1
Retained Earnings
-8,0148,5779,1218,4755,889
Comprehensive Income & Other
-3,2432,5862,4992,0751,840
Shareholders' Equity
15,32411,55711,46211,91910,8508,029
Total Liabilities & Equity
-38,06833,20323,60218,61613,432
Total Debt
20,85617,85612,5175,1401,6511,827
Net Cash (Debt)
-17,158-16,027-8,058-568.33,8791,411
Net Cash Growth
----174.88%1069.10%
Net Cash Per Share
-158.71-156.53-78.70-5.5537.8813.78
Filing Date Shares Outstanding
118.8102.39102.39102.39102.39102.39
Total Common Shares Outstanding
118.8102.39102.39102.39102.39102.39
Working Capital
-350.41,0501,8704,7582,721
Book Value Per Share
140.94112.87111.95116.41105.9778.42
Tangible Book Value
15,32311,55511,46011,91710,8508,028
Tangible Book Value Per Share
140.93112.86111.93116.39105.9678.40
Land
-726.8707.4707.4707.4707.4
Buildings
-1,517507.4407.6304.8214.2
Machinery
-12,6967,7147,2496,8775,604
Construction In Progress
-13,52111,9964,064636.41,257
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.