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NHPC Ltd
Power Generation And Supply
BSE Code
533098
ISIN Demat
INE848E01016
Book Value
38.53
NSE Symbol
NHPC
Dividend Yield (%)
2.12
Market Cap (
₹
Cr.)
90,144.14
P/E
31.16
EPS
2.88
Face Value
10
Standalone
Consolidated
Particulars (₹ Cr)
Mar2024
Mar2023
Mar2022
Mar2021
Mar2020
Non-Current Assets:
Fixed Assets
19,393.89
20,063.81
20,810.78
20,931.04
23,291.03
Property, Plant and Equipments
16,598.88
17,435.03
19,024.55
19,174.60
21,463.33
Right-of-Use Assets
2,613.18
2,625.70
1,783.12
1,752.92
1,826.98
Intangible Assets
1.83
3.08
3.11
3.52
0.72
Intangible Assets under Development
180.00
0.00
0.00
0.00
0.00
Capital Work in Progress
29,794.72
25,315.01
20,573.84
17,852.56
16,097.65
Non-current Investments
6,360.35
5,551.45
5,418.83
3,926.17
3,405.23
Investment Properties
4.49
4.49
4.49
4.49
4.49
Investments in Subsidiaries, Associates and Joint venture
5,901.57
5,199.74
4,904.00
3,406.33
2,936.61
Investments of Life Insurance Business
0.00
0.00
0.00
0.00
0.00
Investments - Long-term
454.29
347.22
510.34
515.35
464.13
Long-term Loans and Advances
4,537.45
4,426.87
4,215.30
4,164.53
3,270.40
Other Non-Current Assets
11,423.82
11,670.37
12,016.66
12,159.65
10,974.69
Long-term Loans and Advances and Other Non-Current Assets
15,961.27
16,097.24
16,231.96
16,324.18
14,245.09
Biological Assets other than Bearer Plants (Non Current)
0.00
0.00
0.00
0.00
0.00
Loans - Long-term
1,196.15
1,089.80
1,017.59
920.27
798.65
Others Financial Assets - Long-term
4,581.77
4,946.54
4,502.78
4,940.27
3,435.91
Current Tax Assets - Long-term
0.00
30.27
9.52
0.00
138.90
Insurance Related Assets (Non Current)
0.00
0.00
0.00
0.00
0.00
Other Non-current Assets (LT)
10,183.35
10,030.63
10,702.07
10,463.64
9,871.63
Deferred Tax Assets
0.00
0.00
0.00
0.00
0.00
Total Non Current Assets
71,510.23
67,027.51
63,035.41
59,033.95
57,039.00
Current Assets:
Inventories
177.00
150.48
130.30
124.42
118.24
Biological Assets other than Bearer Plants (Current)
0.00
0.00
0.00
0.00
0.00
Current Investments
12.43
151.35
0.00
0.00
0.00
Cash and Cash Equivalents
992.51
638.22
1,160.71
913.96
389.12
Cash and Cash Equivalents
775.27
397.05
937.78
145.57
8.87
Bank Balances Other Than Cash and Cash Equivalents
217.24
241.17
222.93
768.39
380.25
Trade Receivables
3,981.32
5,487.59
4,621.48
4,532.49
3,585.12
Short-term Loans and Advances
1,241.42
675.00
628.81
1,008.47
653.54
Other Current Assets
887.68
584.97
722.91
644.54
2,828.50
Short-term Loans and Advances and Other Current Assets
2,129.10
1,259.97
1,351.72
1,653.01
3,482.04
Loans - Short-term
97.25
114.59
55.68
48.08
46.03
Others Financial Assets - Short-term
1,181.69
614.32
731.73
1,067.12
2,932.96
Current Tax Assets - Short-term
117.93
132.83
123.17
165.73
127.14
Insurance Related Assets (Current)
0.00
0.00
0.00
0.00
0.00
Other Current Assets (ST)
732.23
398.23
441.14
372.08
375.91
Assets Classified as Held for Sale
0.00
0.00
0.00
0.00
0.00
Total Current Assets
7,292.36
7,687.61
7,264.21
7,223.88
7,574.52
TOTAL ASSETS
78,802.59
74,715.12
70,299.62
66,257.83
64,613.52
Current Liabilities:
Short term Borrowings
3,052.77
2,885.65
2,848.76
2,119.14
714.31
Lease Liabilities (Current)
4.91
2.39
2.27
2.42
0.00
Trade Payables
258.85
215.45
189.57
198.27
304.26
Other Current Liabilities
2,573.11
2,275.96
1,881.42
2,098.82
3,682.51
Others Financial Liabilities - Short-term
1,919.81
1,541.05
1,370.72
1,532.97
2,880.07
Insurance Related Liabilities (Current)
0.00
0.00
0.00
0.00
0.00
Other Current Liabilities
653.30
734.91
510.70
565.85
802.44
Liabilities Directly Associated with Assets Classified as Held for Sale
0.00
0.00
0.00
0.00
0.00
Provisions
2,226.25
1,662.23
1,135.75
1,287.98
1,228.16
Current Tax Liabilities - Short-term
56.70
0.00
0.00
35.00
0.00
Other Short term Provisions
2,169.55
1,662.23
1,135.75
1,252.98
1,228.16
Total Current Liabilities
8,115.89
7,041.68
6,057.77
5,706.63
5,929.24
Net Current Asset
-823.53
645.93
1,206.44
1,517.25
1,645.28
Non-Current Liabilities:
Long term Borrowings
26,338.22
25,254.69
23,166.61
21,230.99
20,889.74
Debt Securities
0.00
0.00
0.00
0.00
0.00
Borrowings
26,338.22
25,254.69
23,166.61
21,230.99
20,889.74
Deposits
0.00
0.00
0.00
0.00
0.00
Lease Liabilities (Non Current)
18.23
11.70
12.88
10.23
0.00
Other Long term Liabilities
5,333.48
5,010.83
5,427.47
4,089.13
4,141.88
Others Financial Liabilities - Long-term
2,160.22
2,143.07
2,088.04
2,054.34
2,059.23
Insurance Related Liabilities (Non Current)
0.00
0.00
0.00
0.00
0.00
Other Non-Current Liabilities
3,173.26
2,867.76
3,339.43
2,034.79
2,082.65
Long term Provisions
59.71
50.92
48.05
28.38
27.66
Current Tax Liabilities - Long-term
0.00
0.00
0.00
0.00
0.00
Other Long term Provisions
59.71
50.92
48.05
28.38
27.66
Deferred Tax Liabilities
1,668.45
1,937.34
2,100.74
3,589.36
3,641.19
Total Non Current Liabilities
33,418.09
32,265.48
30,755.75
28,948.09
28,700.47
Shareholders’ Funds:
Share Capital
10,045.03
10,045.03
10,045.03
10,045.03
10,045.03
Equity Capital
10,045.03
10,045.03
10,045.03
10,045.03
10,045.03
Preference Capital
0.00
0.00
0.00
0.00
0.00
Unclassified Capital
0.00
0.00
0.00
0.00
0.00
Other Equity
27,223.58
25,362.93
23,441.07
21,558.08
19,938.78
Reserves and Surplus
27,223.58
25,362.93
23,441.07
21,558.08
19,938.78
Other Equity Components
0.00
0.00
0.00
0.00
0.00
Total Shareholder's Fund
37,268.61
35,407.96
33,486.10
31,603.11
29,983.81
Total Equity
37,268.61
35,407.96
33,486.10
31,603.11
29,983.81
TOTAL EQUITY AND LIABILITIES
78,802.59
74,715.12
70,299.62
66,257.83
64,613.52
Contingent Liabilities and Commitments (to the Extent Not Provided for)
25,314.42
13,699.30
13,252.07
0.00
12,698.89
Ordinary Shares :
Authorised:
Number of Equity Shares - Authorised
15,000,000,000.00
15,000,000,000.00
15,000,000,000.00
15,000,000,000.00
15,000,000,000.00
Amount of Equity Shares - Authorised
15,000.00
15,000.00
15,000.00
15,000.00
15,000.00
Par Value of Authorised Shares
10.00
10.00
10.00
10.00
10.00
Susbcribed & fully Paid up :
Par Value
10.00
10.00
10.00
10.00
10.00
Susbcribed & fully Paid up Shares
10,045,034,805.00
10,045,034,805.00
10,045,034,805.00
10,045,034,805.00
10,045,034,805.00
Susbcribed & fully Paid up CapItal
10,045.03
10,045.03
10,045.03
10,045.03
10,045.03