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Parameters

EQUITY AND LIABILITIES


Share Capital
Share Warrants & Outstandings
Shareholder's Funds
Long-Term Borrowings
Secured Loans
Unsecured Loans
Deferred Tax Assets / Liabilities
Other Long Term Liabilities
Long Term Trade Payables
Long Term Provisions
Total Non-Current Liabilities
Trade Payables
Current Liabilities
Other Current Liabilities
Short Term Borrowings
Short Term Provisions
Total Current Liabilities
Total Liabilities
Non-Current Assets
ASSETS
Gross Block
Less: Accumulated Depreciation
Less: Impairment of Assets
Net Block
Lease Adjustment A/c
Capital Work in Progress
Intangible assets under
development
Pre-operative Expenses pending
Assets in transit
Non Current Investments
Long Term Loans & Advances

MAR'15

MAR'14

MAR'13

MAR'12

( Cr.)

( Cr.)

( Cr.)

( Cr.)

MAR'11
( Cr.)

91.49

91.49

93.48

93.48

93.43

12,511.2
1
0.00
15,428.3
0
3,079.12
1,658.59
244.52
0.00
31.89
20,442.4
2
1,443.02

13,064.3
3
0.00
11,311.8
0
2,208.98
1,345.46
265.04
0.00
19.59
15,150.8
7
1,986.57

12,348.0
7
0.00
10,376.1
3
1,484.79
1,214.96
560.58
0.00
20.94
13,657.4
0
628.20

10,845.4
1
0.00
6,536.01

8,689.34

1,957.91
1,067.81
141.24
0.00
18.72
9,721.69

2,692.73
878.33
140.63
0.00
8.49
8,387.16

998.31

709.00

4,073.09
7,607.63
92.88
13,216.6
2
46,170.2
5
0.00

3,536.17
9,146.13
323.75
14,992.6
2
43,207.8
2
0.00

2,584.39
7,640.02
2,951.85
13,804.4
6
39,809.9
3
0.00

3,661.53
5,878.54
2,452.63
12,991.0
1
33,558.1
1
0.00

2,632.13
4,081.99
1,887.85
9,310.97

34,784.2
3
7,569.15
0.00
27,215.0
8
0.00
3,300.52

18,881.1
7
4,724.98
0.00
14,156.1
9
0.00
10,803.3
1
17.82

15,204.2
6
3,655.25
0.00
11,549.0
1
0.00
9,882.71

12,787.3
5
2,786.93
0.00
10,000.4
2
0.00
6,694.45

30.35

24,215.9
5
5,956.62
0.00
18,259.3
3
0.00
10,947.2
7
22.92

14.10

3.19

232.27
0.00
1,486.96
2,315.91

692.97
0.00
1,350.52
1,958.00

662.81
0.00
1,330.72
1,225.46

597.15
0.00
1,412.17
997.10

383.42
0.00
1,210.01
855.21

0.00
4,666.98

26,387.4
7
0.00

Other Non Current Assets


Total Non-Current Assets
Total Reserves
Current Assets Loans &
Advances
Currents Investments
Inventories
Cash and Bank
Other Current Assets
Short Term Loans and Advances
Total Current Assets
Net Current Assets (Including
Current Investments)
Total Current Assets Excluding
Current Investments
Miscellaneous Expenses not
written off
Total Assets
Contingent Liabilities
Total Debt
Book Value (in )
Adjusted Book Value (in )

1.08
34,582.1
7
12,419.7
2

0.63
33,231.6
4
12,972.8
4

1,000.00
3,720.03
288.97
753.77
4,504.04
11,588.0
8
-1,628.54

0.00
3,936.25
762.00
557.83
3,259.14
9,976.18

0.55
28,196.8
6
12,254.5
9

4.63
24,456.8
7
10,751.9
3

6.03
19,152.7
3
8,594.12

0.00
3,598.52
36.77
608.11
5,943.54
11,613.0
7
-5,016.44 -2,191.39

0.00
3,051.31
30.94
307.64
4,806.29
9,101.24

0.00
2,204.12
43.71
319.87
3,929.92
7,234.74

10,588.0
8
0.00

9,976.18

9,101.24

7,234.74

0.00

11,613.0
7
0.00

0.00

0.00

46,170.2
5
11,215.0
4
28,313.2
2
136.75
136.75

43,207.8
2
12,730.9
0
24,369.2
4
0.00
0.00

39,809.9
3
10,590.9
2
20,470.2
8
132.09
132.09

33,558.1
1
8,093.80

26,387.4
7
9,075.70

15,714.3
2
116.02
116.02

12,110.9
1
92.98
92.98

-3,889.77 -2,076.23

Jindal Steel & Power Limited (JSPL) was established in the year 1990 by hiving off the Raigarh
& Raipur Divisions of Jindal Strips Ltd. JSPL forms a part of the $ $12 billion (over Rs. 60,0...

Management Info
Naveen Jindal Chairman
Ravi Uppal Managing Director
Jagdish Patra Secretary

Registered Office
Address: O P Jindal Marg O P Jindal Marg 0,-

Tel: 01662- 222471-84


Fax: 01662- 222476/499
Email: sustainability@jindalsteel.com
Website: www.jindalsteelpower.com

Registrars Details
Alankit Assignments Ltd
Alankit House , 1 E/13,Jhandewala Extension,New Delhi
Alankit House , 1 E/13
Jhandewala Extension

Parameters
Gross Sales
Less :Inter divisional transfers
Less: Sales Returns
Less: Excise
Net Sales
EXPENDITURE:
Increase/Decrease in Stock
Raw Materials Consumed
Power & Fuel Cost
Employee Cost
Other Manufacturing Expenses
General and Administration
Expenses
Selling and Distribution
Expenses
Miscellaneous Expenses
Expenses Capitalised
Total Expenditure
PBIDT (Excl OI)
Other Income
Operating Profit
Interest
PBDT
Depreciation
Profit Before Taxation &

MAR'15
( Cr.)
20,863.09
6,211.36
0.00
1,261.38
13,390.35

MAR'14
( Cr.)
21,262.94
6,244.74
0.00
1,191.91
13,826.29

MAR'13
( Cr.)
21,541.90
4,656.06
0.00
1,931.14
14,954.70

MAR'12
( Cr.)
17,598.24
2,856.43
0.00
1,407.86
13,333.95

MAR'11
( Cr.)
12,159.27
1,698.30
0.00
886.80
9,574.17

-153.72
4,656.25
1,263.89
650.52
2,055.12
55.32

386.03
4,606.83
885.71
545.30
2,297.77
54.93

-148.20
5,229.88
939.38
447.89
2,862.69
47.77

-379.24
4,982.59
838.37
385.44
2,185.90
44.30

-333.45
2,907.15
568.47
277.78
1,691.54
35.86

512.97

640.47

420.02

349.91

358.58

627.81
0.00
9,668.16
3,722.19
482.88
4,205.07
2,251.15
1,953.92
1,785.56
168.36

438.27
0.00
9,855.31
3,970.98
391.20
4,362.18
1,540.10
2,822.08
1,221.44
1,600.64

1,121.24
0.00
10,920.67
4,034.03
305.28
4,339.31
1,062.35
3,276.96
1,048.46
2,228.50

822.31
0.00
9,229.58
4,104.37
429.79
4,534.16
823.96
3,710.20
867.19
2,843.01

467.37
0.00
5,973.30
3,600.87
315.78
3,916.65
475.94
3,440.71
687.77
2,752.94

Exceptional Items
Exceptional Income / Expenses
Profit Before Tax
Provision for Tax
PAT
Extraordinary Items
Adj to Profit After Tax
Profit Balance B/F
Appropriations
Equity Dividend (%)
Earnings Per Share (in )
Book Value (in )

-807.77
-639.41
-328.73
-310.68
0.00
0.00
10,385.18
10,074.50
0.00
-3.40
136.75

0.00
1,600.64
308.69
1,291.95
0.00
0.00
9,884.71
11,176.66
150.00
14.12
142.80

0.00
2,228.50
635.95
1,592.55
0.00
0.00
8,747.05
10,339.60
160.00
17.04
132.09

0.00
2,843.01
732.36
2,110.65
0.00
0.00
7,112.01
9,222.66
160.00
22.58
116.02

0.00
2,752.94
688.82
2,064.12
0.00
0.00
5,478.83
7,542.95
150.00
22.09
92.98

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