UNO Minda Ltd
NSE:UNOMINDA

Watchlist Manager
UNO Minda Ltd Logo
UNO Minda Ltd
NSE:UNOMINDA
Watchlist
Price: 1 223.3 INR -0.68% Market Closed
Market Cap: 705.6B INR

Balance Sheet

Balance Sheet Decomposition
UNO Minda Ltd

Current Assets 56.4B
Cash & Short-Term Investments 6.7B
Receivables 26.6B
Other Current Assets 23.1B
Non-Current Assets 71.3B
Long-Term Investments 9.1B
PP&E 53.2B
Intangibles 6.1B
Other Non-Current Assets 2.8B
Current Liabilities 42.4B
Accounts Payable 22.8B
Other Current Liabilities 19.6B
Non-Current Liabilities 23B
Long-Term Debt 17B
Other Non-Current Liabilities 6B

Balance Sheet
UNO Minda Ltd

Rotate your device to view
Balance Sheet
Currency: INR
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
28
13
29
11
26
34
31
84
58
163
207
234
178
376
3 577
1 256
928
2 637
2 056
2 023
1 214
2 406
1 979
Cash
0
0
0
0
0
0
0
0
0
0
0
0
147
296
3 307
594
835
2 316
1 602
1 354
1 130
1 877
1 170
Cash Equivalents
28
13
29
11
26
34
31
84
58
163
207
234
31
80
270
662
93
321
454
669
84
530
809
Short-Term Investments
0
0
0
0
0
17
8
53
171
514
179
272
85
182
162
337
171
1 008
326
433
575
277
92
Total Receivables
271
347
497
625
717
785
1 039
1 225
1 467
2 112
2 365
2 963
3 183
3 653
5 053
8 048
9 105
8 956
12 122
13 844
19 283
24 386
29 694
Accounts Receivables
196
255
297
452
557
504
675
898
1 308
1 963
2 173
2 653
2 899
3 583
4 996
7 897
8 992
8 632
11 988
13 767
17 233
20 654
24 956
Other Receivables
75
92
200
173
160
281
364
327
159
149
192
310
284
70
57
151
113
324
134
77
2 050
3 732
4 737
Inventory
85
90
102
157
245
247
244
492
838
808
895
1 247
1 406
1 824
2 376
4 175
5 610
6 095
7 506
10 464
14 211
17 546
18 746
Other Current Assets
0
0
0
0
0
0
0
5
150
325
302
322
338
830
849
1 455
1 514
1 688
2 204
2 796
375
429
555
Total Current Assets
385
450
628
793
987
1 082
1 322
1 857
2 684
3 922
3 947
5 039
5 190
6 865
12 017
15 271
17 327
20 385
24 214
29 559
35 658
45 045
51 065
PP&E Net
484
534
660
685
1 199
1 548
1 703
2 253
2 467
2 701
3 532
4 147
4 117
7 071
9 643
13 915
17 609
24 169
23 375
25 711
30 167
35 598
48 940
PP&E Gross
484
534
660
685
1 199
1 548
1 703
2 253
2 467
2 701
3 532
4 147
4 117
0
9 643
13 915
17 609
24 169
23 375
25 711
30 167
35 598
48 940
Accumulated Depreciation
224
274
336
428
548
690
877
1 118
1 397
2 241
2 642
6 433
7 095
0
1 310
2 869
4 933
7 965
10 872
13 731
17 579
21 730
26 210
Intangible Assets
0
29
33
45
35
52
48
79
106
86
72
73
84
73
284
576
851
3 313
3 118
2 960
2 701
2 489
2 261
Goodwill
0
0
0
0
0
0
0
0
0
10
5
5
5
90
92
1 122
1 653
2 861
2 818
2 840
3 103
3 376
3 479
Note Receivable
0
0
0
0
0
0
0
0
133
216
224
235
206
154
302
458
868
625
662
916
1 993
2 226
1 766
Long-Term Investments
37
13
14
36
60
78
79
79
189
217
218
276
297
486
1 150
1 639
3 604
3 790
5 299
5 958
8 746
9 368
8 639
Other Long-Term Assets
10
6
6
6
0
15
18
2
17
15
59
40
68
323
489
671
393
666
290
372
720
928
1 285
Other Assets
0
0
0
0
0
0
0
0
0
10
5
5
5
90
92
1 122
1 653
2 861
2 818
2 840
3 103
3 376
3 479
Total Assets
915
N/A
1 032
+13%
1 342
+30%
1 565
+17%
2 281
+46%
2 774
+22%
3 170
+14%
4 271
+35%
5 596
+31%
7 168
+28%
8 056
+12%
9 814
+22%
9 966
+2%
15 062
+51%
23 976
+59%
33 651
+40%
42 306
+26%
55 809
+32%
59 774
+7%
68 317
+14%
83 087
+22%
99 030
+19%
117 435
+19%
Liabilities
Accounts Payable
116
126
193
275
418
551
540
1 080
1 253
1 683
2 164
2 473
2 670
3 173
4 864
7 984
7 978
11 185
12 898
14 117
17 005
19 920
21 635
Accrued Liabilities
2
3
3
2
2
1
1
1
0
2
11
284
329
221
319
422
486
509
476
671
1 366
1 784
2 507
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
1 402
1 116
1 715
2 612
3 028
3 492
2 380
3 138
2 647
3 870
5 702
7 281
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
0
1 182
1 163
1 082
263
280
347
629
661
1 257
2 004
2 196
1 934
3 068
3 343
3 583
Other Current Liabilities
59
71
83
93
126
144
155
286
442
513
449
499
439
1 203
891
1 577
1 562
7 051
6 594
4 054
4 214
5 982
5 592
Total Current Liabilities
177
200
279
370
546
696
696
1 367
2 878
3 361
3 706
4 922
4 834
6 660
9 315
13 671
14 776
23 128
25 302
23 422
29 522
36 731
40 598
Long-Term Debt
479
516
667
692
1 138
1 360
1 634
1 447
552
661
887
1 376
972
2 008
1 773
2 400
6 063
8 809
6 314
4 857
7 015
8 018
13 865
Deferred Income Tax
56
65
74
81
67
67
70
63
103
6
0
0
0
0
0
0
6
410
299
624
487
194
132
Minority Interest
0
0
0
0
0
0
0
0
0
115
123
138
213
883
1 170
2 110
2 667
2 828
3 065
3 263
2 784
3 222
3 862
Other Liabilities
0
0
0
0
0
0
0
0
76
163
251
265
294
690
1 125
1 552
1 752
2 023
2 229
1 766
1 720
1 437
1 705
Total Liabilities
711
N/A
781
+10%
1 020
+31%
1 143
+12%
1 751
+53%
2 124
+21%
2 400
+13%
2 877
+20%
3 609
+25%
4 306
+19%
4 967
+15%
6 701
+35%
6 313
-6%
10 241
+62%
13 382
+31%
19 734
+47%
25 265
+28%
37 198
+47%
37 209
+0%
33 932
-9%
41 528
+22%
49 602
+19%
60 163
+21%
Equity
Common Stock
83
135
135
135
135
135
135
571
565
194
194
194
194
159
159
174
524
524
544
571
1 146
1 148
1 148
Retained Earnings
82
109
180
281
389
516
635
822
1 359
2 214
2 447
2 452
2 986
4 109
6 899
9 875
12 804
13 562
15 511
18 723
24 708
32 405
40 860
Additional Paid In Capital
32
0
0
0
0
0
0
0
63
454
447
447
447
446
3 446
3 716
3 605
3 903
6 256
14 391
14 337
14 941
14 962
Unrealized Security Profit/Loss
7
7
6
6
6
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
66
66
66
Other Equity
0
0
0
0
0
0
0
0
0
0
0
20
26
106
90
151
108
621
255
699
1 303
868
236
Total Equity
204
N/A
251
+23%
322
+28%
423
+31%
530
+25%
651
+23%
770
+18%
1 394
+81%
1 987
+43%
2 862
+44%
3 088
+8%
3 113
+1%
3 653
+17%
4 820
+32%
10 595
+120%
13 917
+31%
17 042
+22%
18 611
+9%
22 566
+21%
34 385
+52%
41 559
+21%
49 428
+19%
57 272
+16%
Total Liabilities & Equity
915
N/A
1 032
+13%
1 342
+30%
1 565
+17%
2 281
+46%
2 774
+22%
3 170
+14%
4 271
+35%
5 596
+31%
7 168
+28%
8 056
+12%
9 814
+22%
9 966
+2%
15 062
+51%
23 976
+59%
33 651
+40%
42 306
+26%
55 809
+32%
59 774
+7%
68 317
+14%
83 087
+22%
99 030
+19%
117 435
+19%
Shares Outstanding
Common Shares Outstanding
158
317
317
317
317
317
317
317
389
478
478
478
478
478
478
525
527
527
544
571
573
574
574
Preferred Shares Outstanding
3
3
3
3
3
3
3
3
4
4
4
4
4
4
0
0
0
0
0
0
0
0
0