| | | | | (Rs. lakh) |
| | | | | All Companies | | | | | (447)
| | | CAPITAL AND LIABILITIES | 1998-99 | 1999-00 | 2000-01 |
| | | 1 | 2 | 3 | 4 |
| A. | Share capital | 7,081,30 | 7,844,01 | 8,237,92 | | | 1. | Paid-up capital | 7,080,91 | 7,843,63 | 8,237,78 | | | | (a) Ordinary | 6,540,42 | 7,016,69 | 7,304,52 | | | | Of which, bonus | 1,676,21 | 1,717,48 | 1,767,90 | | | | (b) Preference | 540,50 | 826,94 | 933,27 | | | 2. | Forfeited shares | 39 | 39 | 13 | | | | | | | | B. | Reserves and surplus | 25,024,75 | 28,492,23 | 32,239,53 | | | 3. | Capital reserve | 8,695,87 | 9,714,01 | 10,568,61 | | | | Of which, Premium on shares | 6,837,42 | 7,986,51 | 8,744,66 | | | 4. | Investment allowance reserve | 103,45 | 81,31 | 44,46 | | | 5. | Sinking funds | 1,090,65 | 1,008,42 | 1,121,24 | | | 6. | Other reserves | 15,134,78 | 17,688,48 | 20,505,22 | | | | | | | | C. | Borrowings | 22,029,85 | 21,112,11 | 20,957,55 | | | 7. | Debentures @ | 4,139,28 | 3,980,39 | 4,457,16 | | | 8. | Loans and advances | 16,332,47 | 15,817,63 | 15,317,04 | | | | (a) From banks | 7,932,38 | 7,912,29 | 7,775,17 | | | | Of which, short-term borrowings | 6,408,22 | 5,992,48 | 5,958,30 | | | | (b) From other Indian financial Institutions | 4,289,72 | 4,358,70 | 4,141,32 | | | | (c) From foreign institutional agencies | 653,36 | 381,12 | 268,60 | | | | (d) From Government and semi-Government bodies | 467,80 | 478,96 | 522,97 | | | | (e) From companies | 501,68 | 677,16 | 630,02 | | | | (f) From others | 2,487,52 | 2,009,40 | 1,978,96 | | | 9. | Deferred payments | 246,90 | 154,37 | 220,56 | | | 10. | Public deposits | 1,311,21 | 1,159,72 | 962,80 | | | Of total borrowings, debt | 12,648,96 | 12,484,02 | 12,419,45 | | | | | | | | D. | Trade dues and other current liabilities | 18,862,82 | 20,418,12 | 20,944,17 | | | 11. | Sundry creditors | 12,633,34 | 14,191,64 | 14,655,70 | | | 12. | Acceptances | 638,73 | 873,30 | 880,02 | | | 13. | Liabilities to companies | 95,05 | 96,66 | 125,71 | | | 14. | Advances / deposits from customers, agents, etc. | 3,082,32 | 2,369,61 | 2,571,83 | | | 15. | Interest accrued on loans | 595,86 | 727,60 | 706,45 | | | 16. | Others | 1,817,51 | 2,159,31 | 2,004,46 | | | | | | | | E. | Provisions | 2,735,95 | 2,870,96 | 3,444,05 | | | 17. | Taxation (net of advance of income-tax) | 413,60 | 370,25 | 379,79 | | | 18. | Dividends | 1,392,86 | 1,553,11 | 1,915,75 | | | 19. | Other current provisions | 601,68 | 497,80 | 651,62 | | | 20. | Non-current provisions | 327,81 | 449,81 | 496,89 | | | | | | | | F. | 21. | Miscellaneous non-current liabilities | — | — | — | | | | | | | |
| | | 22. | TOTAL | 75,734,67 | 80,737,43 | 85,823,21 |
|
| | | | (Rs. lakh) |
| | | | | All Companies | | | | | 447
| | | | ASSETS | 1998-99 | 1999-00 | 2000-01 |
| | | | 1 | 2 | 3 | 4 |
| G. | Gross fixed assets | 44,394,64 | 47,294,80 | 50,514,49 | | | 23. | Land | 1,460,43 | 1,625,34 | 1,861,90 | | | 24. | Buildings | 6,529,39 | 7,179,03 | 7,735,15 | | | 25. | Plant and machinery | 30,569,27 | 32,769,65 | 34,795,20 | | | 26. | Capital work-in-progress | 2,335,63 | 1,869,50 | 1,787,01 | | | 27. | Furniture, fixtures and office equipments | 1,928,98 | 2,338,76 | 2,675,19 | | | 28. | Others | 1,570,93 | 1,512,52 | 1,660,04 | | | | | | | | H. | 29. | Depreciation | 14,748,61 | 16,933,94 | 19,507,30 | | | | | | | | I. | 30. | Net fixed assets | 29,646,02 | 30,360,86 | 31,007,19 | | | | | | | | J. | Inventories | 14,072,10 | 14,725,40 | 15,512,64 | | | 31. | Raw materials, components, etc. | 4,735,43 | 4,772,32 | 4,883,97 | | | 32. | Finished goods | 4,067,50 | 4,654,15 | 4,943,03 | | | 33. | Work-in-progress | 2,409,69 | 2,225,37 | 2,261,46 | | | 34. | Stores and spares | 1,307,60 | 1,284,78 | 1,284,88 | | | 35. | Others | 1,551,88 | 1,788,78 | 2,139,30 | | | | | | | | K. | Loans and advances and other debtor balances | 21,375,76 | 23,178,93 | 24,397,53 | | | 36. | Sundry debtors | 12,480,21 | 13,638,16 | 14,364,15 | | | 37. | Loans and advances | 6,594,79 | 7,064,05 | 7,257,15 | | | | a) To subsidiaries and companies under | | | | | | | the same management | 478,35 | 521,54 | 979,81 | | | | b) Others | 6,116,44 | 6,542,52 | 6,277,34 | | | 38. | Interest accrued on loans and advances | 71,04 | 95,87 | 128,15 | | | 39. | Deposits/ balances with Government/ others | 1,870,03 | 1,893,41 | 2,231,25 | | | 40. | Others | 359,68 | 487,45 | 416,83 | | | | | | | | L. | Investments | 5,673,65 | 7,006,98 | 9,298,52 | | | (Of which, quoted investments) | 1,701,22 | 1,517,19 | 1,499,13 | | | 41. | Foreign | 53,12 | 35,64 | 114,45 | | | 42. | Indian | 5,620,53 | 6,971,34 | 9,184,08 | | | | a) Government / semi-Government securities | 560,03 | 692,77 | 1,011,80 | | | | b) Securities of Financial Institutions | 937,36 | 1,316,92 | 1,502,90 | | | | c) Industrial securities | 1,802,35 | 2,069,84 | 2,309,07 | | | | d) Shares and debentures of subsidiaries | 2,276,78 | 2,828,46 | 4,171,67 | | | | e) Others | 44,00 | 63,35 | 188,64 | | | | | | | | M. | 43. | Advance of income-tax | | | | | | | (net of tax provision) | — | — | — | | | | | | | | N. | Other assets | 741,95 | 901,73 | 1,130,78 | | | 44. | Immovable property | 6,66 | 8,36 | 86,24 | | | 45. | Intangible assets | 733,24 | 893,36 | 1,044,54 | | | 46. | Miscellaneous non-current assets | 2,05 | 1 | 1 | | | | | | | | O. | Cash and bank balances | 4,225,19 | 4,563,54 | 4,476,54 | | | 47. | Fixed deposits with banks | 2,029,83 | 2,418,44 | 2,280,45 | | | 48. | Other bank balances | 1,660,49 | 1,605,19 | 1,714,10 | | | 49. | Cash in hand | 534,87 | 539,91 | 482,00 |
| | | 50. | TOTAL (I to O) | 75,734,67 | 80,737,43 | 85,823,21 |
| @ | | Includes privately placed debentures. | – | | Nil or negligible. | Note : | Figure in bracket represents the number of companies. |
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