Rafhan Maize Products Co. Limited (PSX:RMPL)
Pakistan flag Pakistan · Delayed Price · Currency is PKR
9,100.00
0.00 (0.00%)
At close: Apr 3, 2025

Rafhan Maize Products Co. Balance Sheet

Millions PKR. Fiscal year is Jan - Dec.
Fiscal Year
FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2015 - 2019
Period Ending
Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Cash & Equivalents
6,3366,637887.943,7766,565
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Short-Term Investments
8,5655,3993,380986.162,588
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Cash & Short-Term Investments
14,90112,0364,2684,7629,154
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Cash Growth
23.81%181.98%-10.36%-47.98%71.77%
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Accounts Receivable
3,1732,9242,8742,0221,552
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Other Receivables
52.16106.9728.4739.3420.92
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Receivables
3,3723,0672,9242,0741,586
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Inventory
22,96026,34317,94410,4225,252
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Prepaid Expenses
300.94383.1772.71139.54158.41
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Other Current Assets
-92.21204.4356.0924.31
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Total Current Assets
41,53541,92125,41317,45416,175
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Property, Plant & Equipment
9,8918,7186,8496,5036,468
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Other Long-Term Assets
449.07647.49449.28134.89195.08
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Total Assets
51,87851,28832,71924,09722,845
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Accounts Payable
12,39011,4612,5231,2551,052
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Accrued Expenses
-4,4883,6692,4131,915
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Short-Term Debt
8,0735,9922,058756.23-
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Current Portion of Long-Term Debt
85.7144.3711.93119.81127.83
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Current Portion of Leases
9.035.115.125.99-
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Current Income Taxes Payable
769.59620.47287.84121.14236.75
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Current Unearned Revenue
1,597690.62693.45682.45534.18
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Other Current Liabilities
36.713,1083,3422,0051,872
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Total Current Liabilities
22,96126,40912,5907,3595,738
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Long-Term Debt
400.29341.2269.35-106.04
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Long-Term Leases
4.2210.87-5.09-
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Long-Term Unearned Revenue
83.394.7543.23-5.39
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Long-Term Deferred Tax Liabilities
1,5321,395979.86853.28864.64
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Total Liabilities
24,98128,25113,6838,2176,714
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Common Stock
92.3692.3692.3692.3692.36
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Additional Paid-In Capital
36.9536.9536.9536.9536.95
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Retained Earnings
26,76722,90718,90615,75016,001
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Comprehensive Income & Other
0.940.940.940.940.94
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Shareholders' Equity
26,89723,03719,03615,88016,131
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Total Liabilities & Equity
51,87851,28832,71924,09722,845
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Total Debt
8,5726,3932,145887.12233.87
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Net Cash (Debt)
6,3295,6422,1243,8758,920
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Net Cash Growth
12.17%165.69%-45.19%-56.56%67.54%
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Net Cash Per Share
685.20610.88229.92419.51965.74
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Filing Date Shares Outstanding
9.249.249.249.249.24
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Total Common Shares Outstanding
9.249.249.249.249.24
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Working Capital
18,57415,51212,82310,09510,437
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Book Value Per Share
2912.062494.142060.951719.271746.45
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Tangible Book Value
26,89723,03719,03615,88016,131
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Tangible Book Value Per Share
2912.062494.142060.951719.271746.45
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Land
-386.72386.72386.72386.72
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Buildings
-2,9542,7102,7062,678
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Machinery
-11,0469,3999,2448,787
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Construction In Progress
-1,226731.66202.71203.68
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Updated Feb 21, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.