Tata Motors
Tata Motors
Tata Motors
# Balance sheet
Equity Share Capital ₹ 643.8 ₹ 643.8 ₹ 679.2
Reserves ₹ 64,959.7 ₹ 55,618.1 ₹ 78,273.2
Borrowings ₹ 60,642.3 ₹ 73,610.4 ₹ 69,360.0
Other Liabilities ₹ 92,180.3 ₹ 107,442.5 ₹ 114,871.8
Total Liability ₹ 218,426.0 ₹ 237,314.8 ₹ 263,184.1
Investing Activities
Fixed assets purchased (₹ 26,975.0) (₹ 31,962.0) (₹ 31,503.0)
Fixed assets sold ₹ 50.0 ₹ 74.0 ₹ 59.0
Investments purchased (₹ 429.0) (₹ 5,461.0) (₹ 4,728.0)
Investments sold ₹ 4.0 ₹ 42.0 ₹ 89.0
Interest received ₹ 653.0 ₹ 698.0 ₹ 731.0
Dividends received ₹ 40.0 ₹ 80.0 ₹ 58.0
Invest in subsidiaries - - -
Investment in group cos - (₹ 160.0) -
Redemp n Canc of Shares - - -
Acquisition of companies (₹ 185.0) - (₹ 111.0)
Inter corporate deposits - - -
Other investing items (₹ 1,149.0) ₹ 456.0 (₹ 1,289.0)
Cash from Investing Activities (₹ 27,991.0) (₹ 36,233.0) (₹ 36,694.0)
Financing Activities
Proceeds from shares - - ₹ 7,433.0
Redemption of debentures (₹ 658.0) (₹ 744.0) -
Proceeds from borrowings ₹ 33,258.0 ₹ 36,363.0 ₹ 19,519.0
Repayment of borrowings (₹ 29,141.0) (₹ 23,332.0) (₹ 24,924.0)
Interest paid fin (₹ 6,171.0) (₹ 6,307.0) (₹ 5,716.0)
Dividends paid (₹ 722.0) (₹ 720.0) (₹ 108.0)
Financial liabilities - - -
Other financing items (₹ 450.0) (₹ 57.0) -
Cash from Financing Activities (₹ 3,884.0) ₹ 5,203.0 (₹ 11,229.0)
- - - - - - ₹ 2.3
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% -19.28%
₹ 423,873.8
22.52%
₹ 368,356.4
86.90%
₹ 55,517.4
13.10%
-
0.00%
₹ 55,517.4
13.10%
₹ 10,393.7
2.45%
₹ 27,169.8
6.41%
₹ 17,954.0
4.24%
₹ 3,687.0
20.54%
₹ 14,267.0
3.37%
-
-100.00%
-
0.00%
0.00%
COMPANY NAME TATA MOTORS LTD
LATEST VERSION 2.10 PLEAS
CURRENT VERSION 2.10
META
Number of shares 366.34
Face Value 2.00
Current Price 1,021.90
Market Capitalization 374,359.74
Quarters
Report Date Sep-21 Dec-21 Mar-22 Jun-22
Sales 61,378.82 72,229.29 78,439.06 71,934.66
Expenses 57,262.21 65,151.27 70,156.27 69,521.93
Other Income 862.46 788.73 188.74 2,380.98
Depreciation 6,123.32 6,078.13 6,432.11 5,841.04
Interest 2,327.30 2,400.74 2,380.52 2,420.72
Profit before tax -3,471.55 -612.12 -341.10 -3,468.05
Tax 1,005.06 726.05 758.22 1,518.96
Net profit -4,441.57 -1,516.14 -1,032.84 -5,006.60
Operating Profit 4,116.61 7,078.02 8,282.79 2,412.73
BALANCE SHEET
Report Date Mar-14 Mar-15 Mar-16 Mar-17
Equity Share Capital 643.78 643.78 679.18 679.22
Reserves 64,959.67 55,618.14 78,273.23 57,382.67
Borrowings 60,642.28 73,610.39 69,359.96 78,603.98
Other Liabilities 92,180.26 107,442.48 114,871.75 135,914.49
Total 218,425.99 237,314.79 263,184.12 272,580.36
Net Block 69,091.67 88,479.49 107,231.76 95,944.08
Capital Work in Progress 33,262.56 28,640.09 25,918.94 33,698.84
Investments 10,686.67 15,336.74 23,767.02 20,337.92
Other Assets 105,385.09 104,858.47 106,266.40 122,599.52
Total 218,425.99 237,314.79 263,184.12 272,580.36
Receivables 10,574.23 12,579.20 13,570.91 14,075.55
Inventory 27,270.89 29,272.34 32,655.73 35,085.31
Cash & Bank 29,711.79 32,115.76 30,460.40 36,077.88
No. of Equity Shares ### ### ### ###
New Bonus Shares
Face value 2.00 2.00 2.00 2.00
CASH FLOW:
Report Date Mar-14 Mar-15 Mar-16 Mar-17
Cash from Operating Activity 36,151.16 35,531.26 37,899.54 30,199.25
Cash from Investing Activity -27,990.91 -36,232.35 -36,693.90 -39,571.40
Cash from Financing Activity -3,883.24 5,201.44 -3,795.12 6,205.30
Net Cash Flow 4,277.01 4,500.35 -2,589.48 -3,166.85
DERIVED:
Adjusted Equity Shares in Cr 288.74 288.74 288.72 288.73
PLEASE DO NOT MAKE ANY CHANGES TO THIS SHEET