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                           You can view Balance Sheet for the last 5 years.
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                            ISIN No
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                            INE032A01023
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                            52Wk High (Rs.)
                         | 
                        
                            241
                         | 
                        
                            BV (Rs.)
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                            121.44
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                            FV (Rs.)
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                            2.00
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                        | 
                            Bookclosure
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                            06/08/2025
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                            52Wk Low (Rs.)
                         | 
                        
                            118
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                            EPS (Rs.)
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                            23.73
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                            P/E (X)
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                            6.80
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                            Mkt Cap. (Rs. Cr.)
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                            3,334.92
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                            P/BV (X)
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                            1.33
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                            Div Yield (%)
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                            0.74
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                            Mkt Lot
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                            1
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                        | 
                            Standalone
                            Consolidated
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                        | 
                            (Rs. in Crs.)
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			| Particulars | Mar 25 | Mar 24 | Mar 23 | Mar 22 | Mar 21 | 
		 
			| Months | 12 | 12 | 12 | 12 | 12 | 
		 
			| Source Of Info (AR = Annual Report, PR = Press Release) | AR | AR | AR | AR | AR | 
		 
			| FaceValue | 2.00 | 2.00 | 2.00 | 2.00 | 2.00 | 
		 
			| No. of Equity Shares (in Lacs) | 2065.35 | 2065.35 | 2065.35 | 2065.35 | 2065.35 | 
		 
			|   |   |   |   |   |   | 
		 
			| EQUITIES AND LIABILITIES |   |   |   |   |   | 
		 
			| SHAREHOLDER'S FUNDS |   |   |   |   |   | 
		 
			| Equity Share Capital | 41.31 | 41.31 | 41.31 | 41.31 | 41.31 | 
		 
			| Preference Share Capital | 2.94 | 2.75 | 2.58 | 3.86 | 3.58 | 
		 
			| Total Share Capital | 44.25 | 44.06 | 43.89 | 45.17 | 44.89 | 
		 
			|   |   |   |   |   |   | 
		 
			| Reserves and Surplus | 2301.18 | 1804.40 | -1315.47 | -799.75 | -237.76 | 
		 
			| Total Reserves and Surplus | 2301.18 | 1804.40 | -1315.47 | -799.75 | -237.76 | 
		 
			| Total Shareholders Funds | 2345.43 | 1848.46 | -1271.58 | -754.58 | -192.87 | 
		 
			| Hybrid/Debt/Other Securities | 0.52 | 0.52 | 0.52 | 0.00 | 0.52 | 
		 
			|   |   |   |   |   |   | 
		 
			| NON-CURRENT LIABILITIES |   |   |   |   |   | 
		 
			| Long Term Borrowings | 0.00 | 0.00 | 2696.82 | 3145.77 | 2497.14 | 
		 
			| Deferred Tax Liabilities [Net] | 15.90 | 0.00 | 0.00 | 0.00 | 0.00 | 
		 
			| Other Long Term Liabilities | 5.63 | 0.00 | 0.00 | 11.32 | 7.67 | 
		 
			| Long Term Provisions | 102.79 | 171.97 | 11.20 | 11.97 | 13.39 | 
		 
			| Total Non-Current Liabilities | 124.32 | 171.97 | 2708.02 | 3169.06 | 2518.20 | 
		 
			|   |   |   |   |   |   | 
		 
			| CURRENT LIABILITIES |   |   |   |   |   | 
		 
			| Short Term Borrowings | 0.00 | 0.00 | 942.64 | 1292.12 | 893.05 | 
		 
			| Trade Payables | 281.04 | 358.79 | 363.03 | 335.29 | 384.55 | 
		 
			| Other Current Liabilities | 100.28 | 105.85 | 246.28 | 183.56 | 1028.74 | 
		 
			| Short Term Provisions | 141.56 | 72.80 | 3.17 | 3.15 | 3.96 | 
		 
			| Total Current Liabilities | 522.88 | 537.44 | 1555.12 | 1814.12 | 2310.30 | 
		 
			|   |   |   |   |   |   | 
		 
			| Total Capital And Liabilities | 2993.15 | 2558.39 | 2992.08 | 4228.60 | 4636.15 | 
		 
			|   |   |   |   |   |   | 
		 
			| ASSETS |   |   |   |   |   | 
		 
			| NON-CURRENT ASSETS |   |   |   |   |   | 
		 
			| Tangible Assets | 579.44 | 571.54 | 436.81 | 462.86 | 484.50 | 
		 
			| Intangible Assets | 0.11 | 0.15 | 0.23 | 0.14 | 0.22 | 
		 
			| Capital Work-In-Progress | 26.67 | 13.86 | 0.31 | 0.13 | 0.80 | 
		 
			| Intangible Assets Under Development | 0.00 | 0.00 | 0.00 | 0.03 | 0.00 | 
		 
			| Other Assets | 3.20 | 2.87 | 5.18 | 3.45 | 3.52 | 
		 
			| Fixed Assets | 609.42 | 588.42 | 442.53 | 466.61 | 489.04 | 
		 
			| Non-Current Investments | 918.22 | 673.47 | 193.27 | 366.30 | 472.67 | 
		 
			| Deferred Tax Assets [Net] | 0.00 | 14.19 | 615.74 | 643.06 | 567.98 | 
		 
			| Long Term Loans And Advances | 0.00 | 0.00 | 0.00 | 0.00 | 3.66 | 
		 
			| Other Non-Current Assets | 175.18 | 185.77 | 139.13 | 133.57 | 117.77 | 
		 
			| Total Non-Current Assets | 1702.82 | 1461.85 | 1390.67 | 1609.54 | 1651.12 | 
		 
			|   |   |   |   |   |   | 
		 
			|   |   |   |   |   |   | 
		 
			| CURRENT ASSETS |   |   |   |   |   | 
		 
			| Current Investments | 547.65 | 72.65 | 0.00 | 0.00 | 0.00 | 
		 
			| Inventories | 254.27 | 244.88 | 1098.07 | 1814.53 | 2043.14 | 
		 
			| Trade Receivables | 43.98 | 52.07 | 266.65 | 294.90 | 656.37 | 
		 
			| Cash And Cash Equivalents | 97.72 | 478.20 | 184.52 | 467.00 | 237.10 | 
		 
			| Short Term Loans And Advances | 250.09 | 0.09 | 0.05 | 0.05 | 0.52 | 
		 
			| OtherCurrentAssets | 96.62 | 248.65 | 52.12 | 42.58 | 47.90 | 
		 
			| Total Current Assets | 1290.33 | 1096.54 | 1601.41 | 2619.06 | 2985.03 | 
		 
			|   |   |   |   |   |   | 
		 
			| Total Assets | 2993.15 | 2558.39 | 2992.08 | 4228.60 | 4636.15 | 
		 
			|   |   |   |   |   |   | 
		 
			| OTHER INFORMATION |   |   |   |   |   | 
		 
			|   |   |   |   |   |   | 
		 
			| CONTINGENT LIABILITIES, COMMITMENTS |   |   |   |   |   | 
		 
			| Contingent Liabilities | 963.45 | 275.42 | 518.09 | 217.48 | 317.32 | 
		 
			|   |   |   |   |   |   | 
		 
			| BONUS DETAILS |   |   |   |   |   | 
		 
			| Bonus Equity Share Capital | 21.02 | 21.02 | 21.02 | 21.02 | 21.02 | 
		 
			|   |   |   |   |   |   | 
		 
			| NON-CURRENT INVESTMENTS |   |   |   |   |   | 
		 
			| Non-Current Investments Quoted Market Value | 872.30 | 657.94 | 191.78 | 364.57 | 470.90 | 
		 
			| Non-Current Investments Unquoted Book Value | 187.98 | 202.61 | 188.57 | 188.81 | 188.85 | 
		 
			|   |   |   |   |   |   | 
		 
			| CURRENT INVESTMENTS |   |   |   |   |   | 
		 
			| Current Investments Quoted Market Value | 547.65 | 72.65 | 0.00 | 0.00 | 0.00 | 
		 
	 
 
                                         
                                     
                                 
                             
                            
                             
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