DIPPED PRODUCTS PLC (DIPD) Balancesheet (annual)

Quaeterly

As per 22nd of November 2024

  1,918,593   Rs. 41.90   Rs. 80,389,046.70
Assert 2017-03-31 2016-03-31 2015-03-31 2014-03-31
Current Assets
Short Term Investment - - - -
Accounts Receivable 4,454,468,000 3,566,017,000 4,198,740,000 4,223,498,000
Inventories 3,841,349,000 3,169,682,000 3,637,490,000 3,618,367,000
Amounts Due from related parties - - - -
Cash In Hand and at Bank 471,983,000 337,958,000 393,646,000 375,745,000
Other Current Asset - - - -
Deposits , advances & prepayments 295,444,000 301,423,000 307,893,000 334,094,000
Income Tax Receivable - - - -
Total Current Assets 9,063,244,000 7,375,080,000 8,537,769,000 8,551,704,000
Long Term Assets
Property, Plant & Equipment 12,414,457,000 12,188,554,000 12,058,013,000 10,414,861,000
Intangible Asset 260,425,000 175,201,000 176,658,000 177,991,000
Investment In Subsidiary 26,000 - - -
Long Term Financial Asset 589,068,000 342,798,000 24,000 17,000
Other Long Term Asset 374,353,000 249,059,000 214,111,000 219,404,000
Investments in fixed deposits - 22,000 - -
Rentals Paid in Advance 58,239,000 59,501,000 60,762,000 -
Investment property - 369,268,000 389,735,000 397,515,000
Deferred tax assets 196,362,000 43,430,000 29,592,000 17,025,000
Investments in associates and Joint ventures 214,023,000 260,000,000 307,477,000 266,508,000
Total Long Term Asset 14,106,953,000 13,687,833,000 13,236,372,000 11,493,321,000
Total Asset 23,170,197,000 21,062,913,000 21,774,141,000 20,045,025,000
Current Liablities
Trade and other payable 2,918,325,000 2,493,949,000 3,061,671,000 2,908,969,000
Amount due to related Parties - - - -
Income Tax Liabilities 154,165,000 19,211,000 38,570,000 40,326,000
Current Portion of borrowing 3,003,068,000 - - -
Other Current Liabilities - - - -
Bank Overdrafts - - - -
Deffered service income - - - -
Short term borrowings - 2,263,857,000 3,119,888,000 2,465,359,000
Total Current Liabilities 6,075,558,000 4,777,017,000 6,220,129,000 5,414,654,000
Long Term Liabilities
Borrowing - - - -
Deffered Tax Liabilities 686,093,000 565,781,000 494,555,000 458,093,000
Interest Bearing Borrowings 2,114,650,000 2,085,929,000 1,372,989,000 1,451,593,000
Employee Benefit Liabilities 2,125,763,000 2,632,694,000 2,461,136,000 2,344,592,000
Long Term Liability - 52,563,000 - 59,576,000
Revenue grant 42,809,000 - 51,350,000 -
Insurance contract liabilities - - - -
Other deferred liabilities 691,115,000 673,864,000 644,975,000 667,163,000
Total Long Term Liability 5,660,430,000 6,010,831,000 5,025,005,000 4,981,017,000
Total Liability 11,735,988,000 10,787,848,000 11,245,134,000 10,395,671,000
Stock Holders Equity
Stated Capital 598,615,000 598,615,000 598,615,000 598,615,000
Revenue Reserves 478,771,000 6,846,945,000 444,331,000 6,271,286,000
Other Components of Equity - 14,000 - 11,000
Retained earnings 8,044,601,000 - - -
Shares in Trust - - 16,000 -
Hedging reserve 17,000 450,164,000 7,000,544,000 457,251,000
Equity attributable to equity holders of the parent 9,122,004,000 7,895,738,000 8,043,506,000 7,327,163,000
Non-Controlling Interests 2,312,205,000 2,397,327,000 2,485,501,000 2,322,191,000
Total Stock Holder Equity 11,434,209,000 10,293,065,000 10,529,007,000 9,649,354,000
Total Liability and Equity 23,170,197,000 21,080,913,000 21,774,141,000 20,045,025,000