Gujarat State Fertilizers and Chemicals Ltd
NSE:GSFC

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Gujarat State Fertilizers and Chemicals Ltd Logo
Gujarat State Fertilizers and Chemicals Ltd
NSE:GSFC
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Price: 155.66 INR 0.25% Market Closed
Market Cap: ₹62B

Balance Sheet

Balance Sheet Decomposition
Gujarat State Fertilizers and Chemicals Ltd

Balance Sheet
Gujarat State Fertilizers and Chemicals 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
867
421
416
554
252
1 945
819
338
590
543
242
1 388
1 567
353
314
482
553
408
340
2 350
3 275
10 979
5 323
2 854
Cash
867
421
416
554
252
1 945
819
338
590
543
242
628
1 215
0
0
461
553
408
340
678
458
612
877
1 239
Cash Equivalents
0
0
0
0
0
0
0
0
0
0
0
760
353
353
314
21
0
0
0
1 672
2 817
10 367
4 446
1 615
Short-Term Investments
0
0
0
0
0
0
0
43
12
5 583
8 809
314
60
0
60
54
91
220
82
78
38
3 327
17 631
16 147
Total Receivables
7 800
5 452
7 665
8 460
11 453
9 877
7 815
5 431
8 021
10 494
14 908
30 447
33 064
0
33 064
28 749
28 148
26 442
28 333
12 535
13 574
25 016
19 652
21 451
Accounts Receivables
1 138
850
594
868
867
374
608
432
2 249
2 156
0
7 958
32 896
0
32 896
7 999
9 350
8 116
8 498
4 714
3 897
5 084
5 874
6 129
Other Receivables
6 662
4 602
7 071
7 592
10 586
9 503
7 207
4 999
5 772
8 338
0
22 489
168
0
168
20 750
18 798
18 326
19 835
7 821
9 677
19 932
13 779
15 322
Inventory
4 848
4 121
3 728
3 836
5 351
5 380
6 240
7 456
6 111
5 648
6 423
6 878
6 210
0
6 210
7 637
10 287
17 477
14 624
11 136
15 519
14 244
14 224
15 867
Other Current Assets
7
0
2
1
1
1
1
1 362
6 303
249
660
502
721
57
721
602
2 399
1 481
1 316
8 907
13 316
167
181
183
Total Current Assets
13 522
9 994
11 811
12 851
17 057
17 203
14 876
14 631
21 037
22 518
31 043
39 531
40 369
57
40 369
37 524
41 479
46 028
44 695
35 007
45 722
53 732
57 011
56 503
PP&E Net
20 058
18 984
17 266
15 822
14 543
13 358
12 694
12 529
12 631
15 824
17 706
20 427
20 510
0
20 510
22 881
28 671
30 049
30 074
29 202
28 367
27 774
27 818
31 902
PP&E Gross
20 058
18 984
17 266
15 822
14 543
13 358
12 694
12 529
12 631
15 824
17 706
20 427
20 510
0
20 510
22 881
28 671
30 049
30 074
29 202
28 367
27 774
27 818
31 902
Accumulated Depreciation
10 239
11 622
13 055
14 410
15 833
17 375
18 739
20 124
21 493
22 950
24 201
25 483
946
0
946
1 946
3 056
4 287
5 715
7 359
8 472
10 214
11 844
13 623
Intangible Assets
0
0
0
0
0
0
0
4
2
1
1
94
95
0
95
69
39
31
16
16
12
18
26
44
Note Receivable
0
0
0
0
0
0
0
0
0
0
543
2 080
5 409
0
0
5 007
4 941
4 648
4 937
4 107
4 007
4 272
5 494
3 813
Long-Term Investments
1 432
2 213
2 245
2 474
2 808
3 383
2 213
6 061
4 250
4 250
4 327
6 724
17 398
0
17 398
25 296
27 895
23 764
20 874
43 307
63 137
53 295
60 154
50 552
Other Long-Term Assets
2 013
2 018
3 235
2 194
499
276
651
1 406
1 325
1 041
2 044
321
122
0
122
128
121
117
632
2
2
3
4
876
Total Assets
37 026
N/A
33 208
-10%
34 557
+4%
33 341
-4%
34 907
+5%
34 221
-2%
30 434
-11%
34 631
+14%
39 245
+13%
43 633
+11%
55 664
+28%
69 176
+24%
83 903
+21%
0
N/A
83 903
N/A
90 905
+8%
103 146
+13%
104 636
+1%
101 228
-3%
111 641
+10%
141 247
+27%
139 092
-2%
150 507
+8%
143 690
-5%
Liabilities
Accounts Payable
6 893
6 294
6 330
5 531
5 461
3 425
3 631
4 176
3 622
4 650
4 921
5 378
5 638
0
5 638
6 042
8 312
10 387
4 357
5 292
8 019
6 390
7 985
6 751
Accrued Liabilities
335
248
124
213
189
215
135
99
86
108
688
865
693
608
693
437
367
974
1 789
1 269
1 204
1 151
1 481
1 255
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
6 170
12 658
10 842
0
10 842
7 015
8 409
8 687
14 124
350
28
0
25
0
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
973
0
973
519
520
533
558
18
10
9
11
11
Other Current Liabilities
1 366
1 248
1 202
1 562
1 751
1 858
3 059
4 680
4 398
3 581
4 333
4 103
3 630
0
3 630
4 353
5 169
4 289
2 813
3 368
4 209
3 258
3 533
5 003
Total Current Liabilities
8 593
7 790
7 657
7 306
7 402
5 498
6 825
8 954
8 107
8 340
16 112
23 003
21 777
608
21 777
18 366
22 777
24 870
23 642
10 297
13 471
10 808
13 036
13 020
Long-Term Debt
14 729
14 702
13 910
11 594
10 857
9 648
5 595
3 240
6 876
3 923
0
2 393
1 061
0
1 061
519
2 000
1 467
933
0
17
15
15
7
Deferred Income Tax
4 656
4 656
4 566
4 507
3 852
3 537
3 281
3 122
2 822
3 084
2 474
2 392
1 618
0
1 618
888
637
350
0
2 401
6 029
4 732
4 465
4 575
Minority Interest
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
12
12
13
16
15
16
13
108
Other Liabilities
0
0
0
0
0
0
0
0
0
0
1 911
1 972
3 999
0
3 999
4 944
4 685
4 731
8 025
6 525
3 992
3 123
5 708
4 595
Total Liabilities
27 979
N/A
27 148
-3%
26 132
-4%
23 406
-10%
22 111
-6%
18 683
-16%
15 701
-16%
15 316
-2%
17 804
+16%
15 347
-14%
20 496
+34%
29 760
+45%
28 455
-4%
0
N/A
28 455
N/A
24 716
-13%
30 112
+22%
31 430
+4%
32 613
+4%
19 239
-41%
23 525
+22%
18 694
-21%
23 237
+24%
22 305
-4%
Equity
Common Stock
797
797
797
797
797
797
797
797
797
797
797
797
797
0
797
797
797
797
797
797
797
797
797
797
Retained Earnings
5 197
2 210
4 574
6 085
8 946
11 689
10 884
15 465
17 592
24 437
31 318
35 567
43 516
0
43 516
46 152
49 810
53 720
51 746
55 708
63 948
75 781
75 183
79 028
Additional Paid In Capital
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
3 052
Other Equity
0
0
0
0
0
0
0
0
0
0
0
0
8 083
0
8 083
16 188
19 375
15 638
13 020
32 845
49 925
40 769
48 238
38 507
Total Equity
9 047
N/A
6 060
-33%
8 424
+39%
9 935
+18%
12 796
+29%
15 538
+21%
14 733
-5%
19 315
+31%
21 441
+11%
28 287
+32%
35 168
+24%
39 416
+12%
55 447
+41%
0
N/A
55 447
N/A
66 189
+19%
73 034
+10%
73 207
+0%
68 614
-6%
92 402
+35%
117 722
+27%
120 399
+2%
127 270
+6%
121 385
-5%
Total Liabilities & Equity
37 026
N/A
33 208
-10%
34 557
+4%
33 341
-4%
34 907
+5%
34 221
-2%
30 434
-11%
34 631
+14%
39 245
+13%
43 633
+11%
55 664
+28%
69 176
+24%
83 903
+21%
0
N/A
83 903
N/A
90 905
+8%
103 146
+13%
104 636
+1%
101 228
-3%
111 641
+10%
141 247
+27%
139 092
-2%
150 507
+8%
143 690
-5%
Shares Outstanding
Common Shares Outstanding
399
399
399
399
398
398
398
398
398
398
398
398
398
0
398
398
398
398
398
398
398
398
398
398
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