Rafhan Maize Products Co. Limited (PSX:RMPL)
Pakistan flag Pakistan · Delayed Price · Currency is PKR
8,987.31
-1.86 (-0.02%)
At close: Mar 19, 2026

Rafhan Maize Products Co. Balance Sheet

Millions PKR. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
4,1386,3366,637887.943,776
Short-Term Investments
8,3971,969-3,380986.16
Trading Asset Securities
-6,5965,399--
Cash & Short-Term Investments
12,53514,90112,0364,2684,762
Cash Growth
-15.88%23.81%181.98%-10.36%-47.98%
Accounts Receivable
3,3553,1732,9242,8742,022
Other Receivables
34.8952.16106.9728.4739.34
Receivables
3,5923,2523,0672,9242,074
Inventory
30,91722,96026,34317,94410,422
Prepaid Expenses
424.34300.94383.1772.71139.54
Other Current Assets
-120.8792.21204.4356.09
Total Current Assets
47,46941,53541,92125,41317,454
Property, Plant & Equipment
11,5789,8918,7186,8496,503
Other Long-Term Assets
124.92449.07647.49449.28134.89
Total Assets
59,17451,87851,28832,71924,097
Accounts Payable
17,6376,85011,4612,5231,255
Accrued Expenses
-3,8514,3563,6692,413
Short-Term Debt
8,3258,0736,1242,058756.23
Current Portion of Long-Term Debt
84.3185.7144.3711.93119.81
Current Portion of Leases
4.229.035.115.125.99
Current Income Taxes Payable
1,040769.59620.47287.84121.14
Current Unearned Revenue
955.681,597681.23693.45682.45
Other Current Liabilities
38.711,7253,1173,3422,005
Total Current Liabilities
28,08522,96126,40912,5907,359
Long-Term Debt
282.69400.29341.2269.35-
Long-Term Leases
-4.2210.87-5.09
Long-Term Unearned Revenue
66.5283.394.7543.23-
Pension & Post-Retirement Benefits
349.12----
Long-Term Deferred Tax Liabilities
1,2251,5321,395979.86853.28
Total Liabilities
30,00824,98128,25113,6838,217
Common Stock
92.3692.3692.3692.3692.36
Additional Paid-In Capital
36.9536.9536.9536.9536.95
Retained Earnings
29,03626,76722,90718,90615,750
Comprehensive Income & Other
0.940.940.940.940.94
Shareholders' Equity
29,16626,89723,03719,03615,880
Total Liabilities & Equity
59,17451,87851,28832,71924,097
Total Debt
8,6968,5726,5252,145887.12
Net Cash (Debt)
3,8396,3295,5102,1243,875
Net Cash Growth
-39.34%14.85%159.48%-45.19%-56.56%
Net Cash Per Share
415.65685.20596.60229.92419.51
Filing Date Shares Outstanding
9.249.249.249.249.24
Total Common Shares Outstanding
9.249.249.249.249.24
Working Capital
19,38418,57415,51212,82310,095
Book Value Per Share
3157.812912.082494.142060.951719.27
Tangible Book Value
29,16626,89723,03719,03615,880
Tangible Book Value Per Share
3157.812912.082494.142060.951719.27
Land
-386.72386.72386.72386.72
Buildings
-3,1232,9542,7102,706
Machinery
-12,01111,0469,3999,244
Construction In Progress
-1,9381,226731.66202.71
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.