Page 263 - KRCL ENglish
P. 263
2020
2020 2019
3,215.78 3139.42
1,182.81 738.26
0.05 -
Intangible assets under development 0.58 0.01
26.44 26.43
1.30 1.30
1.98 4.98
54.12 36.25
4,483.06 3,946.65
89.68 52.32
843.00 854.12
138.03 242.26
658.54 282.50
2.30 13.15
19.03 19.03
435.38 480.36
15.30 9.68
220.69 243.92
2,421.95 2,197.34
6,905.01 6,143.99
1,283.06 1,259.54
20a 4,079.51 4,079.51
(3,450.80) (3,273.22)
1,911.77 2,065.83
2,331.94 1,939.08
Others 3.56 -
441.69 259.08
28.07 15.52
Total Non-Current Liabilities 2,805.26 2,213.68
1,050.59 901.17
551.50 447.25
523.83 470.07
29 62.06 45.99
Total Current Liabilities 2,187.98 1,864.48
4,993.24 4,078.16
6,905.01 6,143.99
Consolidated Financial Statements
Sd/-
Subhash Chand Gupta
Director (Way and Works)
DIN:08339258
Navi Mumbai
Date : July 30, 2020
UDIN : 20043414AAAACG4527
Nagpur
Date : July 30, 2020 261