Chellarams Plc (NGX:CHELLARAM)
10.50
0.00 (0.00%)
At close: Aug 15, 2025
Chellarams Balance Sheet
Financials in millions NGN. Fiscal year is April - March.
Millions NGN. Fiscal year is Apr - Mar.
Fiscal Year | TTM | FY 2025 | FY 2024 | FY 2023 | FY 2022 | FY 2021 | 2016 - 2020 |
---|---|---|---|---|---|---|---|
Period Ending | Jun '25 Jun 30, 2025 | Mar '25 Mar 31, 2025 | Mar '24 Mar 31, 2024 | Mar '23 Mar 31, 2023 | Mar '22 Mar 31, 2022 | Mar '21 Mar 31, 2021 | 2016 - 2020 |
Cash & Equivalents | 499.75 | 490.34 | 299.88 | 654.69 | 388.56 | 215.89 | Upgrade
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Cash & Short-Term Investments | 499.75 | 490.34 | 299.88 | 654.69 | 388.56 | 215.89 | Upgrade
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Cash Growth | -6.57% | 63.51% | -54.20% | 68.49% | 79.98% | -25.70% | Upgrade
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Accounts Receivable | 1,791 | 1,712 | 1,619 | 1,245 | 476.64 | 514.83 | Upgrade
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Other Receivables | 2,566 | 2,521 | 2,771 | 16.77 | 1,393 | 51.52 | Upgrade
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Receivables | 4,356 | 4,233 | 4,390 | 1,262 | 1,870 | 566.35 | Upgrade
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Inventory | 3,423 | 2,729 | 1,980 | 2,364 | 1,378 | 806.19 | Upgrade
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Prepaid Expenses | - | 103.14 | 31.74 | 41.36 | 8.24 | 9.96 | Upgrade
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Other Current Assets | 272.24 | 478.12 | 263.69 | 355.58 | 360.07 | 355.69 | Upgrade
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Total Current Assets | 8,551 | 8,034 | 6,965 | 4,678 | 4,004 | 1,954 | Upgrade
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Property, Plant & Equipment | 15,258 | 15,272 | 7,773 | 7,108 | 7,120 | 4,620 | Upgrade
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Long-Term Deferred Tax Assets | - | - | 41.95 | - | - | - | Upgrade
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Other Long-Term Assets | -0 | - | - | - | - | - | Upgrade
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Total Assets | 23,809 | 23,305 | 14,780 | 11,785 | 11,124 | 6,574 | Upgrade
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Accounts Payable | 13,101 | 10,394 | 7,394 | 2,501 | 1,775 | 1,627 | Upgrade
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Accrued Expenses | 2.65 | 171.37 | 205.69 | 125.88 | 132.39 | 788.01 | Upgrade
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Short-Term Debt | 1,318 | 0.33 | 101.83 | 105.27 | 7,789 | 8,458 | Upgrade
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Current Portion of Long-Term Debt | 156.33 | 3,461 | 773 | 699.23 | 26.32 | - | Upgrade
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Current Income Taxes Payable | 296.32 | 220.62 | 216.96 | 224.49 | 249.06 | 153.66 | Upgrade
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Current Unearned Revenue | - | 463.87 | 479.85 | 357.36 | 206.46 | 53.34 | Upgrade
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Other Current Liabilities | 253.12 | 2,046 | 1,259 | 1,237 | 970.45 | 894.78 | Upgrade
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Total Current Liabilities | 15,127 | 16,757 | 10,430 | 5,250 | 11,149 | 11,974 | Upgrade
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Long-Term Debt | 5,857 | 3,675 | 6,248 | 4,977 | 3,273 | 1,401 | Upgrade
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Long-Term Deferred Tax Liabilities | 574.58 | 574.29 | - | 447.74 | 511.6 | 216.49 | Upgrade
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Other Long-Term Liabilities | - | - | 0 | - | 0 | 0 | Upgrade
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Total Liabilities | 21,559 | 21,010 | 16,678 | 10,680 | 14,938 | 13,597 | Upgrade
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Common Stock | 361.46 | 361.46 | 361.46 | 361.46 | 361.46 | 361.46 | Upgrade
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Retained Earnings | -9,543 | -9,511 | -7,621 | -5,113 | -10,086 | -10,901 | Upgrade
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Comprehensive Income & Other | 13,180 | 13,180 | 6,409 | 6,409 | 6,409 | 4,083 | Upgrade
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Total Common Equity | 3,999 | 4,030 | -850.09 | 1,658 | -3,315 | -6,456 | Upgrade
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Minority Interest | -1,748 | -1,734 | -1,048 | -552.98 | -499.2 | -566.73 | Upgrade
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Shareholders' Equity | 2,250 | 2,296 | -1,898 | 1,105 | -3,814 | -7,023 | Upgrade
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Total Liabilities & Equity | 23,809 | 23,305 | 14,780 | 11,785 | 11,124 | 6,574 | Upgrade
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Total Debt | 7,331 | 7,137 | 7,123 | 5,782 | 11,089 | 9,858 | Upgrade
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Net Cash (Debt) | -6,831 | -6,646 | -6,823 | -5,127 | -10,700 | -9,642 | Upgrade
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Net Cash Per Share | -9.45 | -9.19 | -9.44 | -7.09 | -14.80 | -13.34 | Upgrade
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Filing Date Shares Outstanding | 722.93 | 722.93 | 722.93 | 722.93 | 722.93 | 722.93 | Upgrade
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Total Common Shares Outstanding | 722.93 | 722.93 | 722.93 | 722.93 | 722.93 | 722.93 | Upgrade
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Working Capital | -6,575 | -8,724 | -3,465 | -572.92 | -7,144 | -10,020 | Upgrade
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Book Value Per Share | 5.53 | 5.57 | -1.18 | 2.29 | -4.59 | -8.93 | Upgrade
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Tangible Book Value | 3,999 | 4,030 | -850.09 | 1,658 | -3,315 | -6,456 | Upgrade
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Tangible Book Value Per Share | 5.53 | 5.57 | -1.18 | 2.29 | -4.59 | -8.93 | Upgrade
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Land | - | - | - | - | 2,754 | 2,160 | Upgrade
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Buildings | - | - | - | - | 3,951 | 2,130 | Upgrade
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Machinery | - | - | - | - | 2,679 | 2,644 | Upgrade
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Source: S&P Global Market Intelligence. Standard template. Financial Sources.