Akzo Nobel India Ltd
NSE:AKZOINDIA

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Akzo Nobel India Ltd Logo
Akzo Nobel India Ltd
NSE:AKZOINDIA
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Price: 3 513.4 INR -0.46% Market Closed
Market Cap: 160B INR

Balance Sheet

Balance Sheet Decomposition
Akzo Nobel India Ltd

Current Assets 18.1B
Cash & Short-Term Investments 2.9B
Receivables 5.4B
Other Current Assets 9.8B
Non-Current Assets 18.4B
Long-Term Investments 107m
PP&E 5B
Intangibles 11.5B
Other Non-Current Assets 1.8B
Current Liabilities 12.7B
Accounts Payable 8.6B
Other Current Liabilities 4.2B
Non-Current Liabilities 1.2B
Long-Term Debt 540m
Other Non-Current Liabilities 694m

Balance Sheet
Akzo Nobel India Ltd

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Balance Sheet
Currency: INR
Mar-2002 Mar-2003 Mar-2004 Mar-2005 Mar-2006 Mar-2007 Mar-2008 Mar-2009 Mar-2010 Mar-2011 Mar-2012 Mar-2013 Mar-2014 Mar-2015 Mar-2016 Mar-2017 Mar-2018 Mar-2019 Mar-2020 Mar-2021 Mar-2022 Mar-2023 Mar-2024 Mar-2025
Assets
Cash & Cash Equivalents
296
412
261
223
187
140
166
113
105
261
524
669
524
471
416
175
689
333
2 545
1 391
1 450
3 147
2 737
2 482
Cash
296
412
261
223
187
140
166
113
105
261
524
669
0
471
416
175
687
333
391
689
748
1 236
1 332
1 198
Cash Equivalents
0
0
0
0
0
0
0
0
0
0
0
0
524
0
0
0
2
0
2 154
702
702
1 911
1 405
1 284
Short-Term Investments
0
0
0
0
0
0
3
3
4
9 450
9 346
6 890
5 880
3 749
5 381
2 693
5 016
3 104
835
0
0
2 379
2 405
386
Total Receivables
1 951
1 872
1 653
1 926
1 886
2 090
1 409
988
1 055
1 552
2 758
3 766
3 569
3 496
4 132
4 754
5 756
6 244
4 549
5 012
6 018
6 757
7 490
7 216
Accounts Receivables
125
113
229
157
165
692
60
49
1
701
2 260
2 516
3 076
3 010
3 522
4 121
3 953
4 440
3 961
4 131
4 955
5 523
5 754
5 849
Other Receivables
1 826
1 759
1 424
1 769
1 721
1 398
1 349
939
1 054
851
498
1 250
493
486
610
633
1 803
1 804
588
881
1 063
1 234
1 736
1 367
Inventory
1 461
1 443
1 388
1 452
1 383
1 331
1 244
1 008
972
1 532
3 334
3 149
3 242
3 738
3 697
4 115
3 553
4 058
4 386
4 945
6 767
6 067
6 290
6 315
Other Current Assets
0
0
0
0
0
0
337
714
588
67
365
356
292
208
198
286
290
363
3 188
6 130
3 369
332
294
3 615
Total Current Assets
3 707
3 727
3 301
3 601
3 455
3 561
3 158
2 826
2 724
12 862
16 327
14 830
13 507
11 662
13 824
12 023
15 304
14 102
15 503
17 478
17 604
18 682
19 216
20 014
PP&E Net
2 777
2 536
1 352
1 041
898
1 348
1 506
1 347
1 404
1 564
3 711
4 605
5 331
5 306
5 318
5 308
5 556
5 383
5 820
5 532
5 566
5 795
6 421
5 461
PP&E Gross
2 777
2 536
1 352
1 041
898
1 348
1 506
1 347
1 404
1 564
3 711
4 605
5 331
0
5 318
5 308
5 556
5 383
5 820
5 532
5 566
5 795
6 421
5 461
Accumulated Depreciation
1 695
2 172
2 258
2 781
2 329
1 539
1 759
1 924
2 114
2 330
3 411
3 762
4 024
0
537
1 049
1 559
2 189
2 779
3 282
3 784
4 281
4 755
3 810
Intangible Assets
886
784
708
708
708
23
18
0
0
0
0
0
0
0
0
115
101
87
74
63
52
41
30
19
Goodwill
1 147
1 147
1 147
1 147
1 147
75
71
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Note Receivable
0
0
0
0
0
0
0
0
0
573
1 188
901
1 032
506
538
631
566
511
1 675
1 975
2 434
2 464
2 884
3 062
Long-Term Investments
757
2 006
3 483
3 121
3 532
8 167
6 836
9 152
9 602
400
850
2 700
500
575
623
663
717
778
5
5
0
0
0
0
Other Long-Term Assets
92
63
51
26
12
0
0
0
0
0
4
16
19
167
139
105
82
118
181
248
260
423
488
478
Other Assets
1 147
1 147
1 147
1 147
1 147
75
71
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Total Assets
9 366
N/A
10 263
+10%
10 041
-2%
9 644
-4%
9 751
+1%
13 174
+35%
11 589
-12%
13 325
+15%
13 730
+3%
15 399
+12%
22 080
+43%
23 052
+4%
20 389
-12%
18 216
-11%
20 442
+12%
18 845
-8%
22 326
+18%
20 979
-6%
23 258
+11%
25 301
+9%
25 916
+2%
27 405
+6%
29 039
+6%
29 034
0%
Liabilities
Accounts Payable
56
46
47
15
27
61
3
34
19
3
48
27
28
4 559
5 890
6 232
6 605
6 064
6 761
7 984
8 451
8 935
9 975
9 563
Accrued Liabilities
12
0
0
0
0
0
0
2
0
0
0
0
0
239
303
156
219
254
316
202
136
211
226
203
Short-Term Debt
153
255
507
552
319
309
317
125
68
1
139
142
110
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
3
3
0
0
0
111
128
154
167
153
173
Other Current Liabilities
3 000
3 489
3 468
2 920
3 130
4 006
3 527
3 395
3 701
3 756
6 637
10 975
10 835
1 889
1 736
1 538
1 867
2 527
2 289
2 599
3 097
3 326
3 881
4 562
Total Current Liabilities
3 221
3 790
4 022
3 488
3 477
4 375
3 847
3 556
3 788
3 760
6 824
11 144
10 973
6 690
7 932
7 926
8 691
8 845
9 477
10 913
11 838
12 639
14 235
14 501
Long-Term Debt
435
164
200
160
0
12
12
0
0
0
0
0
0
26
26
29
29
29
532
511
551
530
451
448
Deferred Income Tax
330
325
146
155
184
82
95
58
21
41
26
47
121
147
186
14
58
0
0
0
0
0
0
0
Minority Interest
977
1 006
563
627
666
8
11
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Liabilities
0
0
0
0
0
0
0
0
0
682
820
808
817
720
666
780
639
742
869
994
932
1 073
1 054
783
Total Liabilities
4 963
N/A
5 285
+6%
4 931
-7%
4 429
-10%
4 326
-2%
4 477
+3%
3 964
-11%
3 614
-9%
3 809
+5%
4 483
+18%
7 670
+71%
11 999
+56%
11 911
-1%
7 583
-36%
8 810
+16%
8 749
-1%
9 417
+8%
9 616
+2%
10 878
+13%
12 418
+14%
13 321
+7%
14 242
+7%
15 740
+11%
15 732
0%
Equity
Common Stock
409
409
409
409
409
409
384
381
368
368
368
467
467
467
467
467
467
456
456
455
455
455
455
455
Retained Earnings
3 910
4 501
4 639
4 769
4 980
8 263
7 227
9 315
9 538
10 533
13 916
10 571
7 996
10 149
11 147
9 614
12 427
10 891
11 909
12 413
12 128
12 696
12 832
12 835
Additional Paid In Capital
24
12
12
12
12
12
0
0
0
0
111
0
0
0
0
0
0
0
0
0
0
0
0
0
Unrealized Security Profit/Loss
59
57
51
25
25
15
15
15
15
15
15
15
15
15
15
12
12
12
12
12
12
12
12
12
Other Equity
0
0
0
0
0
0
0
0
0
0
0
0
0
2
3
3
3
4
3
3
0
0
0
0
Total Equity
4 403
N/A
4 978
+13%
5 110
+3%
5 215
+2%
5 425
+4%
8 698
+60%
7 625
-12%
9 711
+27%
9 921
+2%
10 916
+10%
14 410
+32%
11 053
-23%
8 478
-23%
10 633
+25%
11 632
+9%
10 096
-13%
12 909
+28%
11 363
-12%
12 380
+9%
12 883
+4%
12 595
-2%
13 163
+5%
13 299
+1%
13 302
+0%
Total Liabilities & Equity
9 366
N/A
10 263
+10%
10 041
-2%
9 644
-4%
9 751
+1%
13 174
+35%
11 589
-12%
13 325
+15%
13 730
+3%
15 399
+12%
22 080
+43%
23 052
+4%
20 389
-12%
18 216
-11%
20 442
+12%
18 845
-8%
22 326
+18%
20 979
-6%
23 258
+11%
25 301
+9%
25 916
+2%
27 405
+6%
29 039
+6%
29 034
0%
Shares Outstanding
Common Shares Outstanding
41
41
41
41
41
41
38
38
37
37
37
47
47
47
47
47
47
46
46
46
46
46
46
46