Hero MotoCorp Ltd.
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Balance Sheet  You can view the Income statement for the last 5 years.
ISIN No INE158A01026 52Wk High (Rs.) 6246 BV (Rs.) 950.47 FV (Rs.) 2.00
Bookclosure 12/02/2025 52Wk Low (Rs.) 3344 EPS (Rs.) 187.23 P/E (X) 19.98
Mkt Cap. (Rs. Cr.) 74,814.05 P/BV (X) 3.94 Div Yield (%) 3.74 Mkt Lot 1
 
(Rs. in Crs.)
ParticularsMar 18Mar 17Mar 16Mar 15
Months12121212
Source Of Info (AR = Annual Report, PR = Press Release)ARARARAR
FaceValue2.002.002.002.00
No. of Equity Shares (in Lacs)1998.401998.401997.801997.80
     
EQUITIES AND LIABILITIES    
SHAREHOLDER'S FUNDS    
Equity Share Capital39.9839.9739.9639.96
Total Share Capital39.9839.9739.9639.96
     
Reserves and Surplus17900.5716629.4915718.5115139.43
Total Reserves and Surplus17900.5716629.4915718.5115139.43
Employees Stock Options45.6335.6324.4519.04
Total Shareholders Funds17986.1816705.0915782.9215198.43
     
NON-CURRENT LIABILITIES    
Deferred Tax Liabilities [Net]434.82405.37383.29404.09
Other Long Term Liabilities289.63330.58297.36275.85
Long Term Provisions316.66198.12178.07172.46
Total Non-Current Liabilities1041.11934.07858.72852.40
     
CURRENT LIABILITIES    
Trade Payables5528.154704.464260.345204.61
Other Current Liabilities861.97743.83651.62745.24
Short Term Provisions154.14175.69160.42160.37
Total Current Liabilities6544.265623.985072.386110.22
     
Total Capital And Liabilities25571.5523263.1421714.0222161.05
     
ASSETS    
NON-CURRENT ASSETS    
Tangible Assets5305.485261.235507.985698.15
Intangible Assets528.55500.19298.50290.26
Capital Work-In-Progress120.58128.5587.32177.86
Intangible Assets Under Development359.93335.24370.88258.73
Fixed Assets6314.546225.216264.686425.00
Non-Current Investments8811.587372.484814.664308.18
Long Term Loans And Advances21.1519.8759.0352.23
Other Non-Current Assets628.26608.79460.69422.85
Total Non-Current Assets15775.5314226.3511599.0611208.26
     
     
CURRENT ASSETS    
Current Investments4274.523637.885837.666191.49
Inventories1443.761434.091122.651469.55
Trade Receivables2703.442798.212304.272426.76
Cash And Cash Equivalents608.93345.50175.12257.15
Short Term Loans And Advances24.5623.7122.8136.94
OtherCurrentAssets740.81797.40652.45570.90
Total Current Assets9796.029036.7910114.9610952.79
     
Total Assets25571.5523263.1421714.0222161.05
     
OTHER INFORMATION    
     
CONTINGENT LIABILITIES, COMMITMENTS    
Contingent Liabilities431.37291.36296.89248.55
     
BONUS DETAILS    
Bonus Equity Share Capital23.9623.9623.9623.96
     
NON-CURRENT INVESTMENTS    
Non-Current Investments Quoted Market Value0.000.000.00614.74
Non-Current Investments Unquoted Book Value0.000.000.003693.68
     
CURRENT INVESTMENTS    
Current Investments Quoted Market Value0.000.000.0055.59
Current Investments Unquoted Book Value0.000.000.006136.94