Westlife Development Ltd
NSE:WESTLIFE

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Westlife Development Ltd
NSE:WESTLIFE
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Price: 705.25 INR -2.92% Market Closed
Market Cap: 109.6B INR
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Balance Sheet

Balance Sheet Decomposition
Westlife Development Ltd

Current Assets 1.5B
Cash & Short-Term Investments 180.4m
Receivables 444.5m
Other Current Assets 880.4m
Non-Current Assets 22.8B
Long-Term Investments 1.5B
PP&E 18.7B
Intangibles 850.2m
Other Non-Current Assets 1.8B
Current Liabilities 4.9B
Accounts Payable 2.2B
Short-Term Debt 2.7B
Non-Current Liabilities 13.5B
Long-Term Debt 12B
Other Non-Current Liabilities 1.5B

Balance Sheet
Westlife Development 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
73
67
69
109
90
29
109
231
83
141
Cash
73
67
69
109
90
29
109
231
83
141
Total Receivables
42
53
133
120
200
264
200
312
304
459
Accounts Receivables
42
42
49
64
98
47
88
133
107
173
Other Receivables
0
11
84
56
102
217
113
179
197
286
Inventory
327
327
372
368
455
411
465
559
714
632
Other Current Assets
16
15
16
26
40
0
0
0
0
0
Total Current Assets
458
462
590
623
785
704
774
1 103
1 101
1 233
PP&E Net
3 999
4 334
4 572
4 836
5 310
13 371
12 213
13 095
15 916
17 755
PP&E Gross
3 999
4 334
4 572
4 836
5 310
13 371
12 213
13 095
15 916
17 755
Accumulated Depreciation
1 935
2 416
2 897
3 419
4 004
2 318
2 870
3 303
3 841
4 580
Intangible Assets
386
409
441
435
460
3
419
417
415
396
Goodwill
466
466
466
466
466
932
466
466
466
466
Note Receivable
919
1 114
337
322
349
695
690
303
336
187
Long-Term Investments
1 481
1 562
1 701
1 843
2 026
1 577
1 986
1 504
1 299
1 380
Other Long-Term Assets
3
2
667
716
771
214
510
522
807
711
Other Assets
513
495
494
516
543
1 067
643
1 031
1 117
1 196
Total Assets
7 759
N/A
8 378
+8%
8 803
+5%
9 291
+6%
10 243
+10%
17 631
+72%
17 236
-2%
17 976
+4%
20 989
+17%
22 858
+9%
Liabilities
Accounts Payable
594
677
742
1 084
1 178
1 280
1 851
1 722
1 877
2 026
Accrued Liabilities
105
159
300
389
396
346
369
414
498
412
Short-Term Debt
729
1 233
1 829
1 835
2 339
0
0
2 010
2 070
2 390
Current Portion of Long-Term Debt
613
188
75
0
0
0
0
951
1 095
1 260
Other Current Liabilities
214
451
538
524
467
318
177
343
466
489
Total Current Liabilities
2 255
2 708
3 484
3 832
4 380
1 944
2 397
5 441
6 006
6 577
Long-Term Debt
0
75
0
0
0
9 659
9 680
7 584
8 865
9 975
Other Liabilities
167
215
44
37
32
258
347
329
459
423
Total Liabilities
2 423
N/A
2 997
+24%
3 528
+18%
3 869
+10%
4 413
+14%
11 860
+169%
12 424
+5%
13 354
+7%
15 330
+15%
16 975
+11%
Equity
Common Stock
311
311
311
311
311
311
312
312
312
312
Retained Earnings
1 104
1 142
1 030
1 170
1 575
1 561
2 580
2 633
1 532
1 275
Additional Paid In Capital
3 921
3 928
3 934
3 941
3 944
7 029
7 080
7 128
7 131
7 131
Treasury Stock
0
0
0
0
0
0
0
186
252
285
Other Equity
0
0
0
0
0
10
0
0
0
0
Total Equity
5 336
N/A
5 381
+1%
5 275
-2%
5 422
+3%
5 830
+8%
5 770
-1%
4 812
-17%
4 621
-4%
5 659
+22%
5 883
+4%
Total Liabilities & Equity
7 759
N/A
8 378
+8%
8 803
+5%
9 291
+6%
10 243
+10%
17 631
+72%
17 236
-2%
17 976
+4%
20 989
+17%
22 858
+9%
Shares Outstanding
Common Shares Outstanding
156
156
156
156
156
156
156
156
155
155

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