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Tata Motors Ltd.

BSE: 500570 | NSE: TATAMOTORSEQ | ISIN: INE155A01022

BSE

Oct 23, 12:32
173.20 +2.65 (+ 1.55%)
Volume648767
Prev. Close 170.55
Open Price 170.00
Today's Low / High
169.80
     
175.70
Bid Price(Qty.) 173.10 (1676)
Offer Pr.(Qty.) 173.25 (1489)
52 Wk Low / High
170.00
     
466.95

NSE

Oct 23, 12:34
173.10 +2.35 (+ 1.38%)
Volume 9114614
Prev. Close 170.75
Open Price 170.00
Today's Low / High
170.00
     
175.70
Bid Price(Qty.) 173.00 (1202)
Offer Pr.(Qty.) 173.10 (2856)
52 Wk Low / High
170.05
     
468.00
You can view the Balance Sheet for the last 5 years.
ISIN No INE155A01022 Market Cap. ( in Cr. ) 49980.01 P/BV 0.52 Book Value ( ) 330.15
BSE Code 500570 52 Week High/Low ( ) 468/170 FV/ML 2/1 P/E(X) 5.56
NSE Code TATAMOTORSEQ Book Closure 09/08/2016 EPS ( ) 31.13 Div Yield (%) 0.00
(₹ in Crs.)


ParticularsMar 18Mar 17Mar 16Mar 15Mar 14
Months1212121212
Source Of Info (AR = Annual Report, PR = Press Release)ARARARARAR
FaceValue2.002.002.002.002.00
No. of Equity Shares (in Lacs)33958.5133958.5133956.8032186.8032186.80
      
EQUITIES AND LIABILITIES     
SHAREHOLDER'S FUNDS     
Equity Share Capital679.22679.22679.18643.78643.78
Total Share Capital679.22679.22679.18643.78643.78
      
Revaluation Reserves0.000.000.0022.8722.87
Reserves and Surplus94748.6957382.6778273.2355595.2764936.80
Total Reserves and Surplus94748.6957382.6778273.2355618.1464959.67
Total Shareholders Funds95427.9158061.8978952.4156261.9265603.45
Minority Interest525.06453.17432.84433.34420.65
      
NON-CURRENT LIABILITIES     
Long Term Borrowings61199.5060629.1850510.3956071.3445258.61
Deferred Tax Liabilities [Net]6125.801174.004474.781343.201572.33
Other Long Term Liabilities13904.3328802.1417830.299141.922596.86
Long Term Provisions10948.449004.467891.0115134.2712190.29
Total Non-Current Liabilities92178.0799609.7880706.4781690.7361618.09
      
CURRENT LIABILITIES     
Short Term Borrowings16794.8513859.9411450.7813140.149695.86
Trade Payables72038.4157698.3357580.4657407.2857315.73
Other Current Liabilities46432.7138263.4932173.6823688.5817373.86
Short Term Provisions7953.505807.765844.516036.007970.68
Total Current Liabilities143219.47115629.52107049.43100272.0092356.13
      
Total Capital And Liabilities331350.51273754.36267141.15238657.99219998.32
      
ASSETS     
NON-CURRENT ASSETS     
Tangible Assets73867.8459594.5664927.0752326.2140694.29
Intangible Assets47429.5735676.2041544.8931456.2923418.55
Capital Work-In-Progress16142.9410186.836550.979330.4710137.30
Intangible Assets Under Development23890.5623512.0119367.9719309.6223125.26
Fixed Assets161330.91128969.60132390.90112422.5997375.40
Goodwill On Consolidation116.45673.32759.804696.994978.83
Non-Current Investments5651.655296.774533.981240.501114.39
Deferred Tax Assets [Net]4158.704457.343957.032733.202347.08
Long Term Loans And Advances495.41753.66503.8814948.3113268.84
Other Non-Current Assets23624.5517483.9215071.89858.005068.45
Total Non-Current Assets195377.67157634.61157217.48136899.59124152.99
      
      
CURRENT ASSETS     
Current Investments15161.1015041.1519233.0414096.249572.28
Inventories42137.6335085.3132655.7329272.3427270.89
Trade Receivables28294.9520885.6713570.9112579.2010574.23
Cash And Cash Equivalents34613.9136077.8830460.4032115.7629711.79
Short Term Loans And Advances2279.66710.451117.1010746.4414055.24
OtherCurrentAssets13485.598319.2912886.492948.424660.90
Total Current Assets135972.84116119.75109923.67101758.4095845.33
      
Total Assets331350.51273754.36267141.15238657.99219998.32
      
OTHER INFORMATION     
      
CONTINGENT LIABILITIES, COMMITMENTS     
Contingent Liabilities13456.6622591.7043504.8822345.8228191.10
      
BONUS DETAILS     
Bonus Equity Share Capital111.29111.29111.29111.29111.29
      
NON-CURRENT INVESTMENTS     
Non-Current Investments Quoted Market Value36.64285.38210.50210.61252.49
Non-Current Investments Unquoted Book Value727.12405.38559.54395.83432.30
      
CURRENT INVESTMENTS     
Current Investments Quoted Market Value303.280.000.000.0027.90
Current Investments Unquoted Book Value14360.4715041.1519233.0414096.249550.43