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Annual Financial Statements Annual Finance Standalone Rs. Million Sales Year A C C Ltd. Mar-09 82746.1 Mar-10 88031.7 Mar-11 86092.9 Mar-12 105045.9 Mar-13 125071.7 Mar-14 123756.3 lnSales 11.3235321622193 11.3854522558668 11.3631822247624 11.5621526764777 11.7366424518388 11.726069588226 DOL -0.486691174290355 DFL

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Annual Financial Statements

Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. MillionSales Profit after tax

Year A C C Ltd. A C C Ltd.Mar-09 82746.1 12127.9Mar-10 88031.7 16067.3Mar-11 86092.9 11209.4Mar-12 105045.9 13267.5Mar-13 125071.7 10611.9Mar-14 123756.3 10930

lnSales lnPBIT11.3235321622193 9.8090395009924111.3854522558668 10.085929935363711.3631822247624 9.7090164884722511.5621526764777 9.8475043302409511.7366424518388 9.68999725825006

11.726069588226 9.6254851472487

DOL -0.486691174290355DFL

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionDividend paid and proposed Total assets Current assetsA C C Ltd. A C C Ltd. A C C Ltd.

4391.4 86462.2 21054.65051.4 102436.9 17832.66677.3 122387.3 213666109.7 121652.6 30066.96546.1 121427.1 23059.26589.6 123517.2 23577.3

lnPAT9.403263862465579.684541429680819.324507990994169.493072714702059.269731291918859.29926658117059

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent liabilities & provisions Provision for direct tax Interest paidA C C Ltd. A C C Ltd. A C C Ltd.

27684.3 5246 823.631621.6 6889.3 1046.347115.4 4241.5 1014.537693.9 4432.8 1210.838719.7 3650.7 1892.6

37463 3479.4 736.5

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionBorrowings Reserves and funds Paid up equity capitalA C C Ltd. A C C Ltd. A C C Ltd.

4820.3 47398.5 1876.85669.2 58282 1877.45238.2 62815.4 1877.55107.3 70043.2 1877.51630.6 71948.5 1877.5

350.3 76368.9 1877.5

Annual Finance StandaloneRs. Million

PBIT SalesAmbuja Cements Ltd.

18197.5 70898.924002.9 77639.316465.4 83116.918911.1 96732.816155.2 110053.815145.9 103762.2

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProfit after tax Dividend paid and proposed Total assetsAmbuja Cements Ltd. Ambuja Cements Ltd. Ambuja Cements Ltd.

14022.7 3918.9 78533.712183.7 4277.2 89013.712643.2 4632 103942.212296.9 5702.9 116317.412970.6 6448 124272.612945.7 6508.9 131007.2

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent assets Current liabilities & provisions Provision for direct taxAmbuja Cements Ltd. Ambuja Cements Ltd. Ambuja Cements Ltd.

20472.7 14825.2 5677.917869.3 17495 5851.428300.6 24027.2 4355.535178.6 27865.8 5414.637450.8 29243.6 6066.538140.1 28801.8 4603

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionInterest paid Borrowings Reserves and fundsAmbuja Cements Ltd. Ambuja Cements Ltd. Ambuja Cements Ltd.

315.4 2886.7 53683.5322.2 1657 61661.6839.9 650.3 70241.3681.3 493.6 77625.6

1024.8 428.1 84966.2964.1 404.8 91763.7

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionPaid up equity capital Sales Profit after taxAmbuja Cements Ltd. Asian Paints Ltd. Asian Paints Ltd.

3045.2 50418.7 3623.63047.4 57937.2 77453059.7 72582.9 7751.53068.7 91393.1 9583.93084.4 104900.7 105003091.7 121981.7 11690.6

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionDividend paid and proposed Total assets Current assetsAsian Paints Ltd. Asian Paints Ltd. Asian Paints Ltd.

1963.9 33557.2 10403.73023.1 46233.9 119813570.5 38891.7 15631.14459.3 48261.4 202595155.2 56815.5 24056.55903.9 67177.3 26959.6

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent liabilities & provisions Provision for direct tax Interest paidAsian Paints Ltd. Asian Paints Ltd. Asian Paints Ltd.

21280.2 1859.7 10.929294.1 3364.6 137.6

17452 3514 153.520640.1 4069.2 273.924322.1 4686.2 265.6

28612 5323.7 260.8

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionBorrowings Reserves and funds Paid up equity capitalAsian Paints Ltd. Asian Paints Ltd. Asian Paints Ltd.

652.9 9985.5 959.2662.9 14613 959.2657.5 18794 959.2

1682.2 23918.6 959.2541 29263.4 959.2

476.9 35050.1 959.2

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionSales Profit after tax Dividend paid and proposedAxis Bank Ltd. Axis Bank Ltd. Axis Bank Ltd.

18153.6 4205.225145.3 5674.533884.9 6703.642422.1 7700.751794.3 9872.362176.7 11011.2

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionTotal assets Current assets Current liabilities & provisionsAxis Bank Ltd. Axis Bank Ltd. Axis Bank Ltd.

1477588.4 182638.6 46132.71806805.3 184339.8 61334.62427460.3 251837.8 82088.52856508.6 192709 86432.83405861.7 260997.1 108881.23832874.7 354859.3 137889

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProvision for direct tax Interest paid BorrowingsAxis Bank Ltd. Axis Bank Ltd. Axis Bank Ltd.

9701.2 71492.7 155198.713371.8 66335.3 171695.517479.7 85918.3 262678.820459.9 139769 340716.723736.4 175163.2 43951131313.8 186895.2 502909.4

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionReserves and funds Paid up equity capital SalesAxis Bank Ltd. Axis Bank Ltd. Bajaj Auto Ltd.

98557.9 3590.1 95902.5156394.5 4051.7 123999.2185882.8 4105.5 173322.2223953.5 4132 204791.8326399.1 4679.5 211360.7377506.4 4698.4 211777

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProfit after tax Dividend paid and proposed Total assetsBajaj Auto Ltd. Bajaj Auto Ltd. Bajaj Auto Ltd.

6545 3724 60473.617001.1 6748.5 8738933397.3 13452.4 94194.830040.5 15133.9 112451.430435.7 15234.5 126368.732479.2 16927.3 148953.7

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent assets Current liabilities & provisions Provision for direct taxBajaj Auto Ltd. Bajaj Auto Ltd. Bajaj Auto Ltd.

13415.7 24352.1 3016.129691.6 42781 707526969.9 39853.4 10080.239857.2 48727 10221.233898.6 43748.3 12226.633935.8 49385.9 13901

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionInterest paid Borrowings Reserves and fundsBajaj Auto Ltd. Bajaj Auto Ltd. Bajaj Auto Ltd.

210.1 15776.7 17250.159.8 13406.5 27836.616.9 3262.2 46208.5

222.4 1250.3 575175.4 884.4 76125.84.9 591.9 93186.5

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionPaid up equity capital Sales Profit after taxBajaj Auto Ltd. Bank Of Baroda Bank Of Baroda

1446.8 222721446.8 30583.32893.7 42416.82893.7 50069.62893.7 44807.22893.7 45410.8

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionDividend paid and proposed Total assets Current assetsBank Of Baroda Bank Of Baroda Bank Of Baroda

3835.6 2266722.3 276958.86392.6 2783166.9 385207.97533.5 3583971.8 532443.18122.9 4473214.7 713022.2

10596.2 5471354.5 909963.610836.8 6595045.4 1384598.6

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent liabilities & provisions Provision for direct tax Interest paidBank Of Baroda Bank Of Baroda Bank Of Baroda

86276.6 11157.4 99681.785983.1 13199.8 107588.6

96063 16529.1 130836.6114004.6 14439.8 193567.2147033.9 3505.1 238813.9

178115 9562.3 269743.6

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionBorrowings Reserves and funds Paid up equity capitalBank Of Baroda Bank Of Baroda Bank Of Baroda

127679 125141.9 3642.7133500.8 147408.5 3642.7223078.6 206507.3 3915.5235730.5 270644.7 4111.2265792.8 315469.1 4212.6368129.7 355550 4294.2

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionSales Profit after tax Dividend paid and proposedBharat Heavy Electricals Ltd. Bharat Heavy Electricals Ltd. Bharat Heavy Electricals Ltd.

285042.3 31382.1 9736.1346136.9 43106.4 13320.9440028.1 60112 17747.3502563.9 70399.6 18205.9509631.5 66147.3 15438.4410575.1 34607.8 8104

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionTotal assets Current assets Current liabilities & provisionsBharat Heavy Electricals Ltd. Bharat Heavy Electricals Ltd. Bharat Heavy Electricals Ltd.

483337.3 357187 351877.7544094.8 416852.1 382903.5677157.4 490661.2 472755.5777965.1 585979 520902.7823927.4 623928.9 503338.6845779.6 654734.2 487495

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProvision for direct tax Interest paid BorrowingsBharat Heavy Electricals Ltd. Bharat Heavy Electricals Ltd. Bharat Heavy Electricals Ltd.

17878 307.1 1493.723192.1 335 1277.830756.9 547.3 1633.432841.3 473.4 1930.128787.4 423.9 1499915848.5 1083.7 27331.6

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionReserves and funds Paid up equity capital SalesBharat Heavy Electricals Ltd. Bharat Heavy Electricals Ltd. Bharat Petroleum Corpn. Ltd.

124492.9 4895.2 1453920.7154278.4 4895.2 1314997.2196643.2 4895.2 1633126248836.9 4895.2 2225004.7299545.8 4895.2 2506492.6325575.3 4895.2 2710373.5

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProfit after tax Dividend paid and proposed Total assetsBharat Petroleum Corpn. Ltd. Bharat Petroleum Corpn. Ltd. Bharat Petroleum Corpn. Ltd.

7358.1 2845.3 481777.415375.3 5789.3 545666.515465.3 5772.4 571988.2

13111 4548.6 666544.426427.2 9228.6 679703.140600.1 14258.2 740279.7

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent assets Current liabilities & provisions Provision for direct taxBharat Petroleum Corpn. Ltd. Bharat Petroleum Corpn. Ltd. Bharat Petroleum Corpn. Ltd.

123889.1 130154.1 2611.2194900.3 173812.6 8237.5238588.3 221091.3 7584.8332918.2 264418 5710.8328360.8 250079.6 14648.2350837.8 316728.5 19801.8

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionInterest paid Borrowings Reserves and fundsBharat Petroleum Corpn. Ltd. Bharat Petroleum Corpn. Ltd. Bharat Petroleum Corpn. Ltd.

19717.9 211714.1 117665.79735.3 221952 127251.78548.9 189718.7 136960.89742.4 229936.9 145523.28463.2 238390.4 159109.45111.5 203215.6 187356.8

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionPaid up equity capital Sales Profit after taxBharat Petroleum Corpn. Ltd. Bharti Airtel Ltd. Bharti Airtel Ltd.

3615.4 340142.9 77438.43615.4 356095 942623615.4 380177 771693615.4 416038 573007230.8 453509 509707230.8 499185 66002

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionDividend paid and proposed Total assets Current assetsBharti Airtel Ltd. Bharti Airtel Ltd. Bharti Airtel Ltd.

4441.7 533022.5 60255.64443 613388 460384399 796311 355304414 901466 468953798 995061 482197817 1120348 51599

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent liabilities & provisions Provision for direct tax Interest paidBharti Airtel Ltd. Bharti Airtel Ltd. Bharti Airtel Ltd.

173544.4 4176.9 2104.3187631 11779 1073223135 10102 1408235009 12452 11086286270 13941 14885323624 19080 10228

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionBorrowings Reserves and funds Paid up equity capitalBharti Airtel Ltd. Bharti Airtel Ltd. Bharti Airtel Ltd.

77136.6 257454.2 18982.450389 348384 18988

118975 422128 18988153014 475308 18988142183 522474 18988103654 647293 19987

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionSales Profit after tax Dividend paid and proposedCairn India Ltd. Cairn India Ltd. Cairn India Ltd.

37.3 542.432 -689.5

23.9 -2126.70 439.6

91960.8 147467.7 25528.799269.9 74543.3 28015

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionTotal assets Current assets Current liabilities & provisionsCairn India Ltd. Cairn India Ltd. Cairn India Ltd.

321905.4 28284.3 1997.4335160.6 1965.8 2343.2333192.7 6736.4 1547332656.6 4707 960.4382487.8 17232.9 39734442143.1 20644.5 50043.3

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProvision for direct tax Interest paid BorrowingsCairn India Ltd. Cairn India Ltd. Cairn India Ltd.

578.3 0.444 599.8 13450

1367.2 1350035.4 1095.5 12500

2644.5 651.4 03211.2 63

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionReserves and funds Paid up equity capital SalesCairn India Ltd. Cairn India Ltd. Cipla Ltd.

300941.3 18966.7 53091.3300397.7 18969.7 56786.2299126.5 19019.2 64003.8300122.2 19074 70775.6321071.2 19102.4 82973.8368705.3 19076.3 94821.1

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProfit after tax Dividend paid and proposed Total assetsCipla Ltd. Cipla Ltd. Cipla Ltd.

7768.1 1818.8 76125.510814.9 1872.5 85278.3

9603.9 2615.3 89881.911239.6 1866.3 96371.915071.1 1878.7 122321.513883.4 1878.7 142729.9

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent assets Current liabilities & provisions Provision for direct taxCipla Ltd. Cipla Ltd. Cipla Ltd.

34301.6 21574.1 124533997.2 23924.7 243537211.9 16921.5 191036793.5 18165.9 297542693.4 20820.5 5047.544826.5 29538.1 4300

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionInterest paid Borrowings Reserves and fundsCipla Ltd. Cipla Ltd. Cipla Ltd.

329.4 9402.4 41952.9229.5 421.2 57535.1

51.4 4706.4 64523.7121.3 378.7 73897270.4 9993.8 87089.4378.3 9163.4 99310.6

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionPaid up equity capital Sales Profit after taxCipla Ltd. Coal India Ltd. Coal India Ltd.

1554.6 4985.9 33715.71605.8 6302.6 386031605.8 6497.2 469611605.8 6738 806511605.8 6369 97943.21605.8 6084.7 150085.4

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionDividend paid and proposed Total assets Current assetsCoal India Ltd. Coal India Ltd. Coal India Ltd.

17054.2 223980.8 69364.122100 241683.6 93941.4

24633.8 276867.5 118777.163163.6 307229.7 158915.388429.1 340478.9 189199.8

190794.5 250523.6 102425.9

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent liabilities & provisions Provision for direct tax Interest paidCoal India Ltd. Coal India Ltd. Coal India Ltd.

53742.4 1628.5 3625.656433.3 2000 2396.985003.1 1900 2034.1

97955 4501.2 3786.3123955 4601.4 3754.5

86071.2 3802.3 2585.4

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionBorrowings Reserves and funds Paid up equity capitalCoal India Ltd. Coal India Ltd. Coal India Ltd.

17866.2 89208.6 63163.614643 107443.7 63163.6

13704.3 114996.5 63163.613627.2 132483.9 63163.611362.3 141998 63163.6

0 101288.8 63163.6

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionSales Profit after tax Dividend paid and proposedD L F Ltd. D L F Ltd. D L F Ltd.

28340.7 15775.8 3683.524118.7 7650.6 3508.629119.6 12695.8 3395.334873.9 10417.9 3947.921491.5 5015.5 4164.824680.2 5268.2 3564.4

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionTotal assets Current assets Current liabilities & provisionsD L F Ltd. D L F Ltd. D L F Ltd.

251488.3 82654.6 30938.6289508.8 88244.1 34010.1347905.6 132397.5 58333.8360911.3 144058.5 55395.9370376.4 178057.4 65625.2376786.2 186385.8 70184.1

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProvision for direct tax Interest paid BorrowingsD L F Ltd. D L F Ltd. D L F Ltd.

2610.1 11443.3 96149.71757.1 9959 126378.53090.5 14771.1 150595.54587.7 17636.5 1595511758.6 19113 157374.7

88.2 17591.2 138998.6

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionReserves and funds Paid up equity capital SalesD L F Ltd. D L F Ltd. Dr. Reddy'S Laboratories Ltd.

120353.9 3394.4 45315124905.3 3394.8 48826134709.8 3395.1 57779141568.7 3396.8 67802142744.5 3397.4 83946162872.4 3562.9 97938

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProfit after tax Dividend paid and proposed Total assetsDr. Reddy'S Laboratories Ltd. Dr. Reddy'S Laboratories Ltd. Dr. Reddy'S Laboratories Ltd.

5609 1232 774928461 2217 903678934 8138 1026739124 2712 117536

12659 2984 13765219330 3585 167676

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent assets Current liabilities & provisions Provision for direct taxDr. Reddy'S Laboratories Ltd. Dr. Reddy'S Laboratories Ltd. Dr. Reddy'S Laboratories Ltd.

25582 17367 168623804 24626 241130888 26778 158542071 33983 346855801 37556 487770345 46241 5216

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionInterest paid Borrowings Reserves and fundsDr. Reddy'S Laboratories Ltd. Dr. Reddy'S Laboratories Ltd. Dr. Reddy'S Laboratories Ltd.

149 6403 5174941 5632 5830248 14448 59356

622 15354 66330631 21000 76985

1054 26662 92439

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionPaid up equity capital Sales Profit after taxDr. Reddy'S Laboratories Ltd. G A I L (India) Ltd. G A I L (India) Ltd.

842 244146.7 28037844 253758 31398.4846 329849.7 35611.3848 409390 36537.3849 481348.1 40220.9851 582005.6 43751.5

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionDividend paid and proposed Total assets Current assetsG A I L (India) Ltd. G A I L (India) Ltd. G A I L (India) Ltd.

10388.3 257359.5 59192.811103.5 303867.3 63227.711066.8 327626.7 51092.712825.9 418360.4 64288.514207.7 512407.3 93428.715434.2 570129.8 113885.1

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent liabilities & provisions Provision for direct tax Interest paidG A I L (India) Ltd. G A I L (India) Ltd. G A I L (India) Ltd.

82828.7 13781.5 869.2105312.4 14180.4 699

89673.9 16746.8 826.8108508.8 15638.7 273.2124774.2 20688.6 1169.8137735.1 20740.5 3347.7

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionBorrowings Reserves and funds Paid up equity capitalG A I L (India) Ltd. G A I L (India) Ltd. G A I L (India) Ltd.

12001.3 135011.5 12684.814803.8 155305.2 12684.8

23100 179848.6 12684.853468.5 203573.5 12684.8

90635 229593.2 12684.8102680.8 258038.5 12684.8

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionSales Profit after tax Dividend paid and proposedGrasim Industries Ltd. Grasim Industries Ltd. Grasim Industries Ltd.

121790.3 16479.6 316489393.5 20921 309050320.3 11817.1 1970.653710.9 11770 2183.8

57719 12259.9 2163.361575.1 8959.9 2003.5

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionTotal assets Current assets Current liabilities & provisionsGrasim Industries Ltd. Grasim Industries Ltd. Grasim Industries Ltd.

160680.4 20531.1 22788.993301.9 7791.2 8829.2

100177.8 9295.1 8295110481 11754.8 9784.8

130774.7 13385.6 13172.6138923.5 18898.2 12870.8

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProvision for direct tax Interest paid BorrowingsGrasim Industries Ltd. Grasim Industries Ltd. Grasim Industries Ltd.

5998.8 1589.8 33949.57700.5 1376.2 10376.24383.6 635.2 8137.63660.3 526.8 7197.23060.7 721.3 12840.21180.9 863.3 13020.8

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionReserves and funds Paid up equity capital SalesGrasim Industries Ltd. Grasim Industries Ltd. H C L Technologies Ltd.

93858.9 916.7 46750.970536.7 916.8 50787.680420.2 917 67944.890076.7 917.1 89072.2

100300.7 917.8 125178.2107357.4 918.3 125178.2

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProfit after tax Dividend paid and proposed Total assetsH C L Technologies Ltd. H C L Technologies Ltd. H C L Technologies Ltd.

9971.6 5491.9 70863.510565.3 3158.9 91591.511982.2 5988.2 97766.619503.7 9652.7 120610.936111.3 9751.3 183013.336111.3 9751.3 183013.3

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent assets Current liabilities & provisions Provision for direct taxH C L Technologies Ltd. H C L Technologies Ltd. H C L Technologies Ltd.

34019.2 30829.3 1943.935640.8 28243.7 1000.136306.4 28242.7 91642974.7 44072.7 4103.271792.7 73088.2 7696.771792.7 73088.2 7696.7

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionInterest paid Borrowings Reserves and fundsH C L Technologies Ltd. H C L Technologies Ltd. H C L Technologies Ltd.

253.8 5137.3 33537.2977.7 13973.9 47980.9975.7 10874.7 57204.1872.3 10457.8 64651.5653.5 7542.2 100933.6653.5 7542.2 100933.6

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionPaid up equity capital Sales Profit after taxH C L Technologies Ltd. H D F C Bank Ltd. H D F C Bank Ltd.

1340.5 22449.41357.6 294871377.4 392641386.6 51670.91393.7 67262.81393.7 84783.8

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionDividend paid and proposed Total assets Current assetsH D F C Bank Ltd. H D F C Bank Ltd. H D F C Bank Ltd.

4982.6 1833586.8 217063.16414.6 2225568.8 327579.7

8948 2774287.7 405932.511748.9 3379715.1 380737.115360.4 4003898.5 399782.819274.9 4916580.9 603054.7

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent liabilities & provisions Provision for direct tax Interest paidH D F C Bank Ltd. H D F C Bank Ltd. H D F C Bank Ltd.

162428.3 10549.2 89111206159.4 13409.9 77863289928.6 18928.6 93850.8374318.6 23466.2 149895.7348420.2 30249.4 192537.5413444.1 42944.3 226529

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionBorrowings Reserves and funds Paid up equity capitalH D F C Bank Ltd. H D F C Bank Ltd. H D F C Bank Ltd.

91636.4 142264.5 4253.8129156.9 210647.5 4577.4143940.6 249140.4 4652.3238465.1 294553.5 4693.4

330066 357382.7 4758.8394390 429988.2 4798.1

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionSales Profit after tax Dividend paid and proposedHero Motocorp Ltd. Hero Motocorp Ltd. Hero Motocorp Ltd.

141442.4 12817.6 4672.5174103.7 22318.3 25675.6211489.7 19279 24368.6255450.3 23781.3 10443.6258659.6 21181.6 14017.5271935.3 21090.8 15199.2

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionTotal assets Current assets Current liabilities & provisionsHero Motocorp Ltd. Hero Motocorp Ltd. Hero Motocorp Ltd.

60904 7700 20580.885305 25595.7 48388.2

107411.8 7892.3 5380699046.7 11003.3 36692.6

107308.3 15606.8 46620.9112166.1 17878.9 53276.8

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProvision for direct tax Interest paid BorrowingsHero Motocorp Ltd. Hero Motocorp Ltd. Hero Motocorp Ltd.

4997 25.3 784.95999 21 660.3

4768.6 151.7 215184865.8 213 17308.34110.4 119.1 9227.67581.7 118.2 2842.6

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionReserves and funds Paid up equity capital SalesHero Motocorp Ltd. Hero Motocorp Ltd. Hindalco Industries Ltd.

37608.1 399.4 19695134250.8 399.4 205729.729161.2 399.4 25352242498.9 399.4 283013.4

49663 399.4 280912.355599.3 399.4 304269.1

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProfit after tax Dividend paid and proposed Total assetsHindalco Industries Ltd. Hindalco Industries Ltd. Hindalco Industries Ltd.

22302.7 2686.3 362701.419156.3 3012.2 419170.521369.2 3337.6 466727.822469.3 3449 557974.717130.9 3136.1 668004.414475.2 2415.5 741387.4

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent assets Current liabilities & provisions Provision for direct taxHindalco Industries Ltd. Hindalco Industries Ltd. Hindalco Industries Ltd.

61873.2 26925.3 6108.875984.5 61849.2 462194210.1 65432 4686.6

102920.6 78535.5 4997.5115336.1 69904.2 3474.3121877.5 88911.1 2720.5

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionInterest paid Borrowings Reserves and fundsHindalco Industries Ltd. Hindalco Industries Ltd. Hindalco Industries Ltd.

2768.7 83242.9 235878.62582.5 63569 2771962061.2 90398.9 295086.42896.8 145734.4 312996.84053.1 245075.9 3323966595.9 270195.9 365259.7

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionPaid up equity capital Sales Profit after taxHindalco Industries Ltd. Hindustan Unilever Ltd. Hindustan Unilever Ltd.

1700.3 219491.7 24964.51913.5 184623.4 22020.31914.4 206399.4 23059.91914.6 231806.2 269141914.6 272604.6 37966.72064.6 295270 38674.9

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionDividend paid and proposed Total assets Current assetsHindustan Unilever Ltd. Hindustan Unilever Ltd. Hindustan Unilever Ltd.

19122.9 85202.8 4927616559.7 95909.1 48287.116419.6 104019.1 55513.4

18839 111980.2 52003.646556.8 117762 55992.632729.7 132689.4 60482.3

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent liabilities & provisions Provision for direct tax Interest paidHindustan Unilever Ltd. Hindustan Unilever Ltd. Hindustan Unilever Ltd.

58525.7 5729.4 253.268050.8 6483.6 69.875530.5 6279.8 2.474960.7 7852.8 12.488917.6 11770.4 251.597574.8 13179.8 360.3

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionBorrowings Reserves and funds Paid up equity capitalHindustan Unilever Ltd. Hindustan Unilever Ltd. Hindustan Unilever Ltd.

4219.4 18435.2 2179.923653.5 2181.724435.7 2159.532967.8 2161.524577.7 2162.530607.8 2162.7

Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. MillionSales Profit after taxHousing Development Finance Corpn. Ltd. Housing Development Finance Corpn. Ltd.

108.8 22965.2104.6 28416

96.6 3531696.9 41268.497.4 48708.891.9 54537.6

Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. MillionDividend paid and proposed Total assetsHousing Development Finance Corpn. Ltd. Housing Development Finance Corpn. Ltd.

9944.8 1017088.212055.9 1166914.3

15482 1392919.318909.7 1675693.822742.6 1954624.925657.8 2258872.2

Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. MillionCurrent assets Current liabilities & provisionsHousing Development Finance Corpn. Ltd. Housing Development Finance Corpn. Ltd.

23401 46634.557754.9 48784.767390.2 67835.368562.4 9347567141.1 117212.591082.8 135006.3

Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. MillionProvision for direct tax Interest paidHousing Development Finance Corpn. Ltd. Housing Development Finance Corpn. Ltd.

9372.7 71345.710908.7 67452.513329.4 74803.815438.8 108730.917255.5 136339.920008.6 157873.8

Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. MillionBorrowings Reserves and fundsHousing Development Finance Corpn. Ltd. Housing Development Finance Corpn. Ltd.

838560.8 128529.4965653.1 149105.6

1151423.2 170231.41391548.6 187221.91588612.1 245209.41843532.8 276430.9

Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. MillionPaid up equity capital SalesHousing Development Finance Corpn. Ltd. I C I C I Bank Ltd.

2844.52871.12933.72953.93092.7

3121

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionProfit after tax Dividend paid and proposed Total assetsI C I C I Bank Ltd. I C I C I Bank Ltd. I C I C I Bank Ltd.

37581.3 13763.8 3798495.840249.8 15019.9 3638668.351513.8 18170.3 4066780.964652.6 21228.2 4894963.283254.7 25996.3 5372629.498104.8 28875.3 5968823.1

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionCurrent assets Current liabilities & provisions Provision for direct taxI C I C I Bank Ltd. I C I C I Bank Ltd. I C I C I Bank Ltd.

451596.6 182646.6 13588.4492615 155011.7 13203.4

429589.3 159863.5 16093.3640035.3 329986.9 23381.7632132.3 321336 30712.2683597.8 347555.4 41576.9

Annual Finance Standalone Annual Finance Standalone Annual Finance StandaloneRs. Million Rs. Million Rs. MillionInterest paid Borrowings Reserves and fundsI C I C I Bank Ltd. I C I C I Bank Ltd. I C I C I Bank Ltd.

227259.4 931554.4 484197.2175925.7 942635.7 505034.7169571.6 1095542.8 539391.1228084.9 1401649.1 592524.8262091.9 1453414.9 655523.2277025.9 1547590.6 720582.8

Annual Finance Standalone Annual Finance Standalone Annual Finance Standalone Annual FinRs. Million Rs. Million Rs. Million Rs. MillionPaid up equity capital Sales Profit after tax Dividend pI C I C I Bank Ltd. I D F C Ltd. I D F C Ltd. I D F C Ltd.

11132.1 95.2 7359.2 1751.811148.2 126.1 10128.4 2173.411517.4 100.5 12771.2 3697.411526.9 117.2 16029.2 4440.111535.6 117.9 17650.2 4570.811548.4 106.5 17058.7 4613.9

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionTotal assetCurrent assCurrent liaProvision f Interest paBorrowingsReserves aPaid up equSales Profit afterI D F C Ltd.I D F C Ltd.I D F C Ltd.I D F C Ltd.I D F C Ltd.I D F C Ltd.I D F C Ltd.I D F C Ltd.I T C Ltd. I T C Ltd.303790.7 48781.8 8036.3 2340.8 20482.1 235330.4 47338.7 12952.8 232478.4 32675.6343640.8 4892.5 9980.7 3048.7 19197.7 265228.7 55222.4 13006.1 263996.3 40616507219.3 35386.7 33296.8 4543 22984.7 362972.7 87650.5 14609.5 308192.8 49882.1630634.7 36098.5 44674.5 5998.4 33700 464287.8 106276.1 15123.6 352208.9 61629.6741401.4 39800.6 70224.3 7041.9 46055 536313.6 119425.8 15147.3 421055.1 74190790025.2 38635.8 85924.4 7113.8 49434.1 556716.2 131926.6 15162.9 470686.6 88138.9

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionDividend pTotal assetCurrent assCurrent liaProvision f Interest paBorrowingsReserves aPaid up equSalesI T C Ltd. I T C Ltd. I T C Ltd. I T C Ltd. I T C Ltd. I T C Ltd. I T C Ltd. I T C Ltd. I T C Ltd. Indusind Ba

16338.7 198077.3 63457.1 47380.3 15651.3 283.8 1775.5 133576.4 3774.444523.3 233904.3 65878.6 80971 19654.3 730 1077.1 136825.6 3818.240020.9 258714 85200.4 86087.7 22876.9 583.2 992 151794.6 7738.140890.4 294368.3 96046.9 92588.5 27370.8 669.8 891.2 180100.5 7818.448534.9 345487.2 120486.6 104769.5 32788.6 659.7 776.7 214976.7 7901.8

55829 397095.8 138696.5 116395.6 39624.8 29.5 665.4 254667 7953.2

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionProfit afterDividend pTotal assetCurrent assCurrent liaProvision f Interest paBorrowingsReserves aPaid up equIndusind BaIndusind BaIndusind BaIndusind BaIndusind BaIndusind BaIndusind BaIndusind BaIndusind BaIndusind Ba

1483.4 523.1 276762.1 45562.9 10230.8 791.5 18504.4 28169.6 13092 35503503.1 861.5 354300.4 52651.4 13278.4 1827.4 18205.8 49342.9 19865.8 4104.55773.3 1083.6 456905.9 67481.1 16948.4 3024.6 22128.6 55254.3 35842.5 4657.78026.1 1195.8 576724.8 70918.9 18108 3900.4 36549.6 86820.1 42740.1 4675.1

10611.8 1837.8 734245.1 83125.2 20999.9 5151.8 47503.6 94595.6 71073.9 5226.814080.2 2153.6 871896.7 89878.1 27187.2 7203.1 53628.2 147619.6 85173.3 5254.5

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionSales Profit afterDividend pTotal assetCurrent assCurrent liaProvision f Interest paBorrowingsReserves aInfosys LtdInfosys LtdInfosys LtdInfosys LtdInfosys LtdInfosys LtdInfosys LtdInfosys LtdInfosys LtdInfosys Ltd

202970 58190 15740 212560 134220 34100 10030 175230211400 58030 16740 261660 158140 38980 20330 217490253850 64430 40130 291130 215550 44360 23780 242140312540 84700 31370 361650 275050 61380 32040 294700367650 91160 28150 433750 307340 69980 32350 357720443410 101940 42270 532110 363060 108160 38270 418060

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionPaid up equSales Profit afterDividend pTotal assetCurrent assCurrent liaProvision f Interest paBorrowingsInfosys LtdJindal SteeJindal SteeJindal SteeJindal SteeJindal SteeJindal SteeJindal SteeJindal SteeJindal Stee

2860 84575.3 15364.8 853.3 144923.3 19131 34347.3 4654 2328 49626.52870 78955.8 14796.8 1208 201768.3 20128.9 42440.4 4277.8 2841.8 83832.62870 104609.7 20641.2 1439.4 264910.5 33111.2 47101.4 6888.2 4132.1 121109.12870 147418.1 21106.5 1526.1 336754 42985.5 59318.8 7323.6 6848.9 157143.22870 168858.4 15925.5 1528.9 400671.9 56694.5 57779.3 6359.5 9667.7 204702.82860 163244.6 12919.5 1384.5 465059.8 67158.1 73719.6 3086.9 12993.3 243692.4

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionReserves aPaid up equSales Profit afterDividend pTotal assetCurrent assCurrent liaProvision f Interest paJindal SteeJindal SteeKotak MahiKotak MahiKotak MahiKotak MahiKotak MahiKotak MahiKotak MahiKotak Mahi

53988.5 154.7 2761 278.2 287118.6 25859 24283.4 1499.6 1546666528.8 931.2 5631.2 296.6 374363.2 34958.1 28694.2 2688.6 13974.885959.1 934.3 8181.8 412.5 508506.6 37714.9 30323.6 3695.2 20921.8

107519.3 934.8 10850.5 517.1 656667.9 43928.5 25540 5148.7 36677.5122545.9 934.8 13607.2 596.7 836936.8 56873.3 27898 6113.4 48368.2129728.4 914.9 15025.2 717.7 876276.6 78259.9 33338.3 7699.3 50470.6

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionBorrowingsReserves aPaid up equSales Profit afterDividend pTotal assetCurrent assCurrent liaProvision fKotak MahiKotak MahiKotak MahiLarsen & TLarsen & TLarsen & TLarsen & TLarsen & TLarsen & TLarsen & T

67340.1 35598.5 3456.7 343566 34816.1 7170.8 376771.6 181500.9 182262.8 11771.761405.2 41917.7 3481.4 373837.9 43751.7 8650.4 483715.5 208239.6 228698.1 15175.9

117239.5 64649.5 3684.4 442291.5 39573.2 9991 594625.4 272453.7 299054.3 18561.9165955.2 76104.1 3703.4 535572 44559.6 11152.5 708371.7 396626.5 347978.6 18538.3204106.2 90911.9 3733 520268.7 49102.7 12266.6 753894.9 384661.2 363776.5 15413128955.7 118984.6 3851.6 570381.8 54927.3 14010.3 811000.1 411867.1 349321.7 17747.8

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionInterest paBorrowingsReserves aPaid up equSales Profit afterDividend pTotal assetCurrent assCurrent liaLarsen & TLarsen & TLarsen & TLarsen & TLupin Ltd. Lupin Ltd. Lupin Ltd. Lupin Ltd. Lupin Ltd. Lupin Ltd.

4155.6 65560.3 123425.5 1171.4 29938.5 4169.7 1211.3 33915.3 14424.2 9199.25053.1 68008.3 181661.1 1204.4 37284.1 6489.3 1412.7 45934.6 17419.3 9786.6

6132 71611.1 217244.9 1217.7 45018 8099.8 1558.1 55299.9 22371.5 11914.96041.1 98957.7 253776 1224.8 54105.2 8043.7 1661.4 62132.4 29152.3 11419.88902.9 88342.3 292115.7 1230.8 71507.8 12604.3 2095.3 71054.5 36414.2 13078.9

10124.6 114589.2 336119.8 1853.8 89775.7 23546.4 2939 88948.6 48006.9 14642.7

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionProvision f Interest paBorrowingsReserves aPaid up equSales Profit afterDividend pTotal assetCurrent assLupin Ltd. Lupin Ltd. Lupin Ltd. Lupin Ltd. Lupin Ltd. Mahindra &Mahindra &Mahindra &Mahindra &Mahindra &

544.1 415.2 9449.1 12924.8 828.2 146681.3 8408.5 3120.6 143770.8 37705.4597.3 283.8 9068.1 24416.1 889.4 203961.2 20877.5 6237.5 161762.4 43542.1347.1 219.8 9832.9 30634.2 892.4 255381.4 26621 8026.4 198109.7 40990.7

2003.4 220.8 10990.2 36450.8 893.3 343481.8 28788.9 8686.1 240519.2 60584.94603.6 180.9 6686.8 47572 895.1 434126.5 33528.2 8911.5 277643.9 70194.58164.6 56.2 1444.7 68893.6 896.8 431201.8 37578.7 9682.9 316412.7 89183.9

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionCurrent liaProvision f Interest paBorrowingsReserves aPaid up equSales Profit afterDividend pTotal assetMahindra &Mahindra &Mahindra &Mahindra &Mahindra &Mahindra &Maruti SuzuMaruti SuzuMaruti SuzuMaruti Suzu

46688.6 1996.9 1341.2 40527.6 49894.6 2726.2 234337 12187 1183 17867250468.2 7590 1568.5 28801.5 75438.2 2829.5 322336 24976 2021 21628865651.2 8575.1 708.6 24044.7 100197.5 2936.2 405864 22886 2518 24658876390.1 7270 1529.9 35807.6 118101.7 2945.2 393624 16352 2518 28787187627.6 10942.7 1313.4 34885.9 143637.6 2951.6 490173 23921 2828 33943396414.1 6110.8 1914.2 40453.3 164960.3 2951.6 488137 27830 4241 385523

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionCurrent assCurrent liaProvision f Interest paBorrowingsReserves aPaid up equSales Profit afterDividend pMaruti SuzuMaruti SuzuMaruti SuzuMaruti SuzuMaruti SuzuMaruti SuzuMaruti SuzuN M D C LtN M D C LtN M D C Lt

39038 75315 4571 510 7538 92004 1445 75640.3 43723.8 10251.122283 86708 10949 335 8889 116906 1445 62390.9 34472.6 8117.450060 101012 8202 244 4316 137230 1445 113757.7 64992.2 15208.355764 118155 5110 547 13735 150429 1445 112687.3 72653.9 20735.555239 133802 5989 1887 14486 184279 1510 107134.4 63423.7 32377.741194 149988 8755 1754 18820 208270 1510 120651.4 64200.8 39427.4

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionTotal assetCurrent assCurrent liaProvision f Interest paBorrowingsReserves aPaid up equSales Profit afterN M D C LtN M D C LtN M D C LtN M D C LtN M D C LtN M D C LtN M D C LtN M D C LtN T P C LtdN T P C Ltd168367.5 113691.5 51318.8 22962.8 112404.4 3964.7 419728 82013214055.6 137460.3 70417.7 17688.4 138759.6 3964.7 466109 87282283510.6 185269.3 90275 32310.5 15.1 188180.5 3964.7 543737.1 91025.9351812.9 221607.4 106657.5 34841.5 14.8 240098.9 3964.7 611154.3 92237.3407062.7 235459.9 130819.5 30919.2 132 271144.9 3964.7 637858.6 126193.9415165.5 215258.3 114109.7 33228.7 18.5 295918.3 3964.7 703096.7 109747.4

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionDividend pTotal assetCurrent assCurrent liaProvision f Interest paBorrowingsReserves aPaid up equSalesN T P C LtdN T P C LtdN T P C LtdN T P C LtdN T P C LtdN T P C LtdN T P C LtdN T P C LtdN T P C LtdOil & Natur

34700 1114528 262696 150901 25547 9996 345793 516683 82455 664043.136608.9 1247014 270373 203469.4 26799.7 10709.3 378123.3 541919.6 82454.6 624588.636480.3 1392843 318205.8 221167.9 26305.4 12271.8 431923.6 596467.9 82454.6 70223638261.1 1503260 365017.3 261155.6 32414.9 15167.9 502823.3 650457.1 82454.6 797059.855230.3 1762918 389928.8 314177.2 41180.9 21657.2 581635.3 721420.5 82454.6 86578955458.9 1920058 369735.9 323018.2 33668.7 23124 671729.3 775698.6 82454.6 880997.1

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionProfit afterDividend pTotal assetCurrent assCurrent liaProvision f Interest paBorrowingsReserves aPaid up equOil & NaturOil & NaturOil & NaturOil & NaturOil & NaturOil & NaturOil & NaturOil & NaturOil & NaturOil & Natur161263.2 80076 1530395 289105.1 604383.6 84084.4 1189.2 267.4 765965.3 21388.7167675.6 82198.4 1688948 268849 664502.2 82362.3 144.2 49.8 851437.2 21388.7

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209257 94288.8 2228653 394847.8 770540.8 103201.1 276 0 1201755 42777.5220948.1 95084.4 2371977 365871.5 741886.1 101225.4 3.2 1324473 42777.5

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionSales Profit afterDividend pTotal assetCurrent assCurrent liaProvision f Interest paBorrowingsReserves aPower Grid Power Grid Power Grid Power Grid Power Grid Power Grid Power Grid Power Grid Power Grid Power Grid

57135.4 16721.5 5909.2 544781.5 64652.8 84355.9 3776.3 11808.1 306250.2 10640171614.7 20140.7 7370.1 637439.5 71667.6 124311.3 5953.1 13914.5 344167.9 119318.884093.5 26744.2 9425.6 758112.1 84125.3 122433.9 11232.5 14035.2 408827.7 169085.8

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Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionPaid up equSales Profit afterDividend pTotal assetCurrent assCurrent liaProvision f Interest paBorrowingsPower Grid Punjab NatPunjab NatPunjab NatPunjab NatPunjab NatPunjab NatPunjab NatPunjab NatPunjab Nat

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Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionReserves aPaid up equSales Profit afterDividend pTotal assetCurrent assCurrent liaProvision f Interest paPunjab NatPunjab NatReliance InReliance InReliance InReliance InReliance InReliance InReliance InReliance In143383.3 3153 1463281 153093.2 22194.5 2459532 416324.9 357019 31373.4 17449.9174076.2 3153 2003998 162356.7 24309.1 2512494 521958.8 404148.3 43249.7 19756.8211917.5 3168.1 2586510 202860 27720 2849000 746010 540050 49560 21250274762.5 3391.8 3397920 200400 29410 2952250 942260 484750 57100 19660323234.2 3534.7 3711190 210030 30750 3186110 1046360 538710 52810 21520355332.5 3620.7 4013020 219840 32680 3677440 906860 683090 58340 18670

Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionBorrowingsReserves aPaid up equSales Profit afterDividend pTotal assetCurrent assCurrent liaProvision fReliance InReliance InReliance InSesa SterlitSesa SterlitSesa SterlitSesa SterlitSesa SterlitSesa SterlitSesa Sterlit739044.8 1247302 15735.3 50797.1 19424.9 2072.3 65540.5 5006 19724.9 6882.1624946.9 1339002 32703.7 53104.9 21180.9 3159.6 122056.2 31038 30073.3 5400

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Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionInterest paBorrowingsReserves aPaid up equSales Profit afterDividend pTotal assetCurrent assCurrent liaSesa SterlitSesa SterlitSesa SterlitSesa SterlitState Bank State Bank State Bank State Bank State Bank State Bank

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Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionProvision f Interest paBorrowingsReserves aPaid up equSales Profit afterDividend pTotal assetCurrent assState Bank State Bank State Bank State Bank State Bank Sun PharmacSun PharmacSun PharmacSun PharmacSun Pharmac

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Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionCurrent liaProvision f Interest paBorrowingsReserves aPaid up equSales Profit afterDividend pTotal assetSun PharmacSun PharmacSun PharmacSun PharmacSun PharmacSun PharmacTata ConsulTata ConsulTata ConsulTata Consul

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Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionCurrent assCurrent liaProvision f Interest paBorrowingsReserves aPaid up equSales Profit afterDividend pTata ConsulTata ConsulTata ConsulTata ConsulTata ConsulTata ConsulTata ConsulTata MotorTata MotorTata Motor

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Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionDividend pTotal assetCurrent assCurrent liaProvision f Interest paBorrowingsReserves aPaid up equSalesTata Power Tata Power Tata Power Tata Power Tata Power Tata Power Tata Power Tata Power Tata Power Tata Steel

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Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionProfit afterDividend pTotal assetCurrent assCurrent liaProvision f Interest paBorrowingsReserves aPaid up equTata Steel Tata Steel Tata Steel Tata Steel Tata Steel Tata Steel Tata Steel Tata Steel Tata Steel Tata Steel

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Annual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinAnnual FinRs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. Million Rs. MillionBorrowingsReserves aPaid up equSales Profit afterDividend pTotal assetCurrent assCurrent liaProvision fWipro Ltd.Wipro Ltd.Wipro Ltd.Zee EntertaZee EntertaZee EntertaZee EntertaZee EntertaZee EntertaZee Enterta

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