JSW Energy Ltd
NSE:JSWENERGY

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JSW Energy Ltd
NSE:JSWENERGY
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Price: 688.9 INR -1.47% Market Closed
Market Cap: 1.2T INR
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Balance Sheet

Balance Sheet Decomposition
JSW Energy Ltd

Current Assets 108.1B
Cash & Short-Term Investments 69B
Receivables 25.1B
Other Current Assets 14B
Non-Current Assets 541.2B
Long-Term Investments 96.4B
PP&E 391.7B
Intangibles 28.1B
Other Non-Current Assets 25B
Current Liabilities 60.1B
Accounts Payable 8.8B
Other Current Liabilities 51.3B
Non-Current Liabilities 309.5B
Long-Term Debt 282.1B
Other Non-Current Liabilities 27.4B

Balance Sheet
JSW Energy Ltd

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Balance Sheet
Currency: INR
Mar-2015 Mar-2016 Mar-2017 Mar-2018 Mar-2019 Mar-2020 Mar-2021 Mar-2022 Mar-2023 Mar-2024
Assets
Cash & Cash Equivalents
3 350
3 114
5 907
2 243
1 322
1 517
3 669
5 444
6 498
30 917
Cash
3 350
3 114
0
0
605
1 303
3 181
2 874
0
16 243
Cash Equivalents
0
0
5 907
2 243
717
214
488
2 570
6 498
14 675
Short-Term Investments
13 926
754
3 742
3 807
3 724
7 442
7 755
14 863
12 294
16 337
Total Receivables
11 812
29 284
23 200
13 882
20 378
27 584
26 213
16 634
28 062
23 644
Accounts Receivables
11 723
29 063
21 828
11 512
14 292
21 090
13 012
12 554
23 620
18 084
Other Receivables
89
221
1 372
2 370
6 086
6 494
13 201
4 080
4 441
5 561
Inventory
5 445
6 358
5 929
5 355
4 547
6 396
3 951
9 010
9 871
8 307
Other Current Assets
2 273
3 437
1 975
1 818
1 112
2 083
3 054
6 053
10 776
7 443
Total Current Assets
36 805
42 947
40 754
27 105
31 082
45 022
44 641
52 004
95 225
86 648
PP&E Net
119 918
189 739
184 072
175 905
166 899
156 084
146 390
155 134
278 445
363 705
PP&E Gross
119 918
189 739
184 072
175 905
166 899
156 084
146 390
155 134
278 445
363 705
Accumulated Depreciation
33 121
8 211
17 561
26 942
38 081
49 280
60 569
71 215
81 958
97 418
Intangible Assets
1 030
9 987
9 692
9 406
8 948
8 558
8 307
7 680
13 244
22 210
Goodwill
97
6 458
6 449
6 398
6 398
6 398
6 398
6 398
6 398
6 398
Note Receivable
24 913
24 905
22 775
20 872
20 711
21 509
20 410
29 237
29 177
27 208
Long-Term Investments
7 142
9 369
13 599
20 782
21 083
11 095
33 679
52 308
49 616
59 726
Other Long-Term Assets
2 624
1 984
6 552
6 741
4 140
2 452
4 538
6 563
15 312
16 797
Other Assets
97
6 458
6 449
6 398
6 398
6 398
6 398
6 398
6 398
6 398
Total Assets
192 529
N/A
285 389
+48%
283 893
-1%
267 209
-6%
259 261
-3%
251 119
-3%
264 363
+5%
309 325
+17%
487 417
+58%
582 691
+20%
Liabilities
Accounts Payable
16 477
25 314
21 187
5 652
4 719
6 903
6 083
9 099
10 141
12 138
Accrued Liabilities
336
305
269
18 130
14 574
10 211
3 827
2 535
4 038
2 616
Short-Term Debt
1 482
15 893
87
82
0
0
2 900
20 162
56 093
19 349
Current Portion of Long-Term Debt
10 548
13 254
12 147
10 541
13 145
15 603
10 818
47
124
16 752
Other Current Liabilities
1 125
9 336
10 937
8 190
11 177
12 716
12 066
19 084
18 982
21 841
Total Current Liabilities
29 968
64 102
44 626
42 595
43 616
45 433
35 693
50 928
89 377
72 694
Long-Term Debt
75 058
119 475
131 259
108 210
92 404
83 073
69 995
69 217
194 294
279 629
Deferred Income Tax
3 341
4 341
3 805
4 280
3 804
3 705
6 081
8 923
10 784
13 390
Minority Interest
476
14
24
39
120
238
87
21
1 054
1 825
Other Liabilities
361
416
494
1 067
1 335
2 691
7 611
6 088
5 620
6 835
Total Liabilities
109 204
N/A
188 348
+72%
180 209
-4%
156 112
-13%
141 038
-10%
134 662
-5%
119 293
-11%
135 176
+13%
301 129
+123%
374 374
+24%
Equity
Common Stock
16 401
16 401
16 280
16 401
16 409
16 419
16 423
16 397
16 405
16 412
Retained Earnings
38 503
49 420
51 775
52 204
59 126
68 159
74 479
87 708
99 484
113 752
Additional Paid In Capital
24 005
23 962
23 917
23 808
23 850
23 906
23 924
23 976
24 003
24 003
Treasury Stock
144
133
0
0
0
0
0
0
0
0
Other Equity
4 559
7 391
11 714
18 685
18 838
7 972
30 245
46 069
46 396
54 151
Total Equity
83 325
N/A
97 041
+16%
103 685
+7%
111 097
+7%
118 222
+6%
116 456
-1%
145 070
+25%
174 149
+20%
186 288
+7%
208 317
+12%
Total Liabilities & Equity
192 529
N/A
285 389
+48%
283 893
-1%
267 209
-6%
259 261
-3%
251 119
-3%
264 363
+5%
309 325
+17%
487 417
+58%
582 691
+20%
Shares Outstanding
Common Shares Outstanding
1 626
1 627
1 628
1 640
1 641
1 642
1 642
1 640
1 641
1 641

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