HDFC Life Insurance Company Ltd (HDFL)

581.60 -12.10 (-2.04%)
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HDFL Balance Sheet

Total Current Assets
Name
Mar 31, 2023
Sep 30, 2022
Jun 30, 2022
Mar 31, 2022
Dec 31, 2021
70,615 50,278.10 68,858.47 66,739 -
Cash and Short Term Investments 11,685.50 9,707.40 19,741.63 19,191.80 -
Cash - - - - -
Cash & Equivalents 11,685.50 5,080.60 13,751.50 6,089.90 -
Short Term Investments 4,626.80 5,990.13 13,101.90 - -
Total Receivables, Net 5,304.90 7,464.02 5,389 - -
Accounts Receivables - Trade, Net 4,177.10 5,995.62 4,160 - -
Total Inventory - - - - -
Prepaid Expenses - - - - -
Other Current Assets, Total 58,929.50 35,265.80 41,652.83 42,158.20 -
2,478,719.10 2,167,622 2,011,700 2,307,344.51 2,010,391.20
Property/Plant/Equipment, Total - Net 3,823.80 2,959.60 3,500 3,118.10 2,894.70
Property/Plant/Equipment, Total - Gross 5,674.70 6,921.38 5,591.20 - -
Accumulated Depreciation, Total -2,715.10 -3,803.28 -2,696.50 - -
Goodwill, Net 56,141.57 - - - -
Intangibles, Net 499.50 581.75 553.70 - -
Long Term Investments 131,927.50 175,216.70 157,100 91,655.58 76,675.90
Note Receivable - Long Term 1,127.80 1,468.40 1,229 - -
Other Long Term Assets, Total 2,256,499.70 1,930,949.80 1,844,100 2,074,269.73 1,857,600.20
Other Assets, Total 74,782.60 42,306 7,000 52,898.23 55,798.80
81,711.50 56,073.30 12,300 69,477.61 60,353.20
Accounts Payable 43,244.60 54,550.76 45,782.30 - -
Payable/Accrued - - - - -
Accrued Expenses 3,155.60 4,982.35 3,172.20 - -
Notes Payable/Short Term Debt 0 - - - -
Current Port. of LT Debt/Capital Leases - - - - -
Other Current liabilities, Total 81,711.50 9,673.10 12,300 9,944.50 11,398.70
2,348,787.60 1,989,510.20 1,857,700 2,151,211.20 1,918,490.10
Total Long Term Debt 9,500 9,500 9,500 6,000 6,000
Long Term Debt 9,500 9,500 9,500 6,000 6,000
Capital Lease Obligations - - - - -
Deferred Income Tax - - - - -
Minority Interest - - - - -
Other Liabilities, Total 0 -21,878.80 0 -29,049.63 -27,763.40
129,931.50 178,111.80 154,000 156,133.31 91,901.10
Redeemable Preferred Stock, Total - - - - -
Preferred Stock - Non Redeemable, Net - - - - -
Common Stock, Total 21,494 21,491 86,900 21,126.19 20,247.90
Additional Paid-In Capital 85,461.10 65,565.62 6,451.10 - -
Retained Earnings (Accumulated Deficit) 70,510.80 67,300 68,427.60 63,711 -
Treasury Stock - Common - - - - -
ESOP Debt Guarantee - - - - -
Unrealized Gain (Loss) - - - - -
Other Equity, Total 108,437.50 648.90 -200 1,013.89 1,491.10
2,478,719.10 2,167,622 2,011,700 2,307,344.51 2,010,391.20
2,129.24 2,149.10 2,110.61 2,112.62 2,024.79
- - - - -

* In Millions of (except for per share items)

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