Torrent Pharma Balance Sheets

BSE Code: 500420NSE Symbol:TORNTPHARMISIN: INE685A01028

4317.9 -32.5(-0.75)

Open (Rs) 4280

Close (Rs) 4350.4

High (Rs) 4338.4

Low (Rs) 4240.3

Face Value5

Market Capital (Cr.)146137.17

Daily Volume644323

Life Time High4712.9

Life Time Low4.03

52 Week High4712.9

52 Week Low3113.6

Balance Sheet

Consolidated

SOURCES OF FUNDS

MAR 2026:-
MAR 2025:-
MAR 2024:-
MAR 2023:-

Share Capital

MAR 2026:169.23
MAR 2025:169.23
MAR 2024:169.23
MAR 2023:169.23

Share warrants and Outstandings

MAR 2026:0
MAR 2025:0
MAR 2024:0
MAR 2023:0

Total Reserve

MAR 2026:8,219.2
MAR 2025:7,421.46
MAR 2024:6,686.92
MAR 2023:6,028.84

Shareholder's Funds

MAR 2026:8,388.43
MAR 2025:7,590.69
MAR 2024:6,856.15
MAR 2023:6,198.07

Minority Interest

MAR 2026:9,196.4
MAR 2025:0
MAR 2024:0
MAR 2023:0

Secured Loans

MAR 2026:11,651.17
MAR 2025:1,191.75
MAR 2024:1,603.78
MAR 2023:2,496.22

Unsecured Loans

MAR 2026:0
MAR 2025:0
MAR 2024:0
MAR 2023:0

Total Debts

MAR 2026:14,798.24
MAR 2025:3,026.09
MAR 2024:3,937.42
MAR 2023:5,297.3

Total Liabilities

MAR 2026:30,298.59
MAR 2025:9,443.83
MAR 2024:8,979.28
MAR 2023:9,162.61

APPLICATION OF FUNDS :

MAR 2026:-
MAR 2025:-
MAR 2024:-
MAR 2023:-

Gross Block

MAR 2026:40,405.45
MAR 2025:14,041.34
MAR 2024:13,484.57
MAR 2023:12,811.62

Less: Accumulated Depreciation

MAR 2026:7,227.37
MAR 2025:6,094.44
MAR 2024:5,346.46
MAR 2023:4,690.17

Less: Impairment of Assets

MAR 2026:0
MAR 2025:0
MAR 2024:0
MAR 2023:0

Net Block

MAR 2026:33,178.08
MAR 2025:7,946.9
MAR 2024:8,138.11
MAR 2023:8,121.45

Lease Adjustment

MAR 2026:0
MAR 2025:0
MAR 2024:0
MAR 2023:0

Capital Work in Progress

MAR 2026:641.12
MAR 2025:478.14
MAR 2024:360.51
MAR 2023:765.4

Pre-operative Expenses pending

MAR 2026:0
MAR 2025:0
MAR 2024:0
MAR 2023:0

Assets in transit

MAR 2026:13.1
MAR 2025:0
MAR 2024:0
MAR 2023:0

Investments

MAR 2026:1,254.04
MAR 2025:460.19
MAR 2024:536.39
MAR 2023:408.24

Current Assets, Loans and Advances

MAR 2026:-
MAR 2025:-
MAR 2024:-
MAR 2023:-

Inventories

MAR 2026:3,138.19
MAR 2025:2,541.25
MAR 2024:2,279.07
MAR 2023:2,229.64

Sundry Debtors

MAR 2026:3,030.86
MAR 2025:1,866.45
MAR 2024:1,844.3
MAR 2023:1,943.82

Cash and Bank

MAR 2026:1,165.2
MAR 2025:579.46
MAR 2024:839.04
MAR 2023:571.46

Other Current Assets

MAR 2026:404.27
MAR 2025:323.62
MAR 2024:327.99
MAR 2023:246.89

Loans and Advances

MAR 2026:787.63
MAR 2025:199.58
MAR 2024:180.04
MAR 2023:165.82

Total Current Assets

MAR 2026:9,391.89
MAR 2025:5,622.57
MAR 2024:5,611.48
MAR 2023:5,313.72

Less : Current Liabilities and Provisions

MAR 2026:-
MAR 2025:-
MAR 2024:-
MAR 2023:-

Current Liabilities

MAR 2026:2,451.48
MAR 2025:1,143.5
MAR 2024:1,130.15
MAR 2023:1,578.41

Provisions

MAR 2026:619.67
MAR 2025:503.7
MAR 2024:568.07
MAR 2023:425.02

Total Current Liabilities

MAR 2026:8,343.33
MAR 2025:4,717.19
MAR 2024:5,425.25
MAR 2023:5,447.3

Net Current Assets

MAR 2026:1,048.56
MAR 2025:905.38
MAR 2024:186.23
MAR 2023:-133.58

Miscellaneous Expenses not written off

MAR 2026:0
MAR 2025:0
MAR 2024:0
MAR 2023:0

Deferred Tax Assets by Liabilities

MAR 2026:4,971.77
MAR 2025:234.57
MAR 2024:100.92
MAR 2023:-141.73

Total Assets

MAR 2026:30,298.59
MAR 2025:9,443.83
MAR 2024:8,979.28
MAR 2023:9,162.61

Contingent Liabilities

MAR 2026:379.25
MAR 2025:156.12
MAR 2024:157.44
MAR 2023:150.83

FAQs

What are the Total Assets of Torrent Pharma in the recent year?

The total assets of Torrent Pharma in the most recent year are ₹30,298.59 crore. This is a cumulative figure comprising both current and non-current assets, representing resources that provide future economic benefits.

What is the Total Liability of Torrent Pharma in the recent financial year?

As per the latest financial reports, the total liabilities of Torrent Pharma in March 2026 are ₹30,298.59 crore. This figure represents the total amount owed by the company, including short-term and long-term obligations. While some liabilities are normal, increasing liabilities without corresponding growth in earnings and assets may indicate weak financial health.

What are the Contingent Liabilities of Torrent Pharma in the financial year 2026?

Torrent Pharma has accounted for ₹379.25 crore as contingent liabilities in the recent financial year. This indicates potential losses that may arise in the future due to specific uncertain events.

What is the Capital Work-in-Progress of Torrent Pharma in the financial year 2026?

In the financial year 2026, Torrent Pharma has ₹641.12 crore as Capital Work-in-Progress. This metric represents costs associated with assets that are under construction or development but not yet ready for their intended use.

Can I invest in Torrent Pharma shares with Anand Rathi?

Yes! If you are already registered with Anand Rathi, you can buy Torrent Pharma stocks through the TradeMobi Trading App or the Web Trading Platform.If you are new to Anand Rathi, follow these steps to open a demat account:

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