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Godrej Properties Financial Statements

NSE: GODREJPROP | BSE: 533150 | CONSTRUCTION

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Godrej Properties (GODREJPROP) reported revenue of ₹69.67B in FY2025 with net income of ₹14.00B. Total assets stood at ₹554.66B and free cash flow was -₹24.54B.

Godrej Properties Income Statement

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FY 2021 – FY 2025
Item Chart 2021 2022 2023 2024 2025
Revenue 13.33B 25.86B 30.39B 43.34B 69.67B
Cost of Rev. -4.75B -11.94B -12.42B -18.08B -29.25B
Gross Profit 8.58B 13.92B 17.97B 25.26B 40.43B
SGA -6.23B -4.98B -7.63B -13.57B -4.51B
Op. Income 2.15B 8.73B 10.10B 11.24B 20.15B
PBT 304.10M 5.16B 7.95B 10.00B 17.23B
Net Income -1.89B 3.51B 6.21B 7.47B 14.00B
Dil. Shares 253.27M 278.00M 278.03M 278.08M 285.63M
Diluted EPS -7.48 12.67 20.55 26.08 49.01

Figures in ₹ — millions (M), billions (B), trillions (T). EPS is earnings per share.

Understanding the Income Statement

The income statement shows Godrej Properties's revenue and expenses over a period. Revenue minus costs gives gross profit; after operating expenses, interest, and taxes, the remainder is net income. Diluted EPS divides net income by all shares that could exist if options and convertibles were exercised.

Godrej Properties Balance Sheet

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FY 2021 – FY 2025
Item Chart 2021 2022 2023 2024 2025
Curr. assets 130.74B 150.96B 201.73B 324.50B 511.44B
Non-curr. assets 31.74B 27.08B 29.33B 32.85B 43.21B
Total assets 162.48B 178.04B 231.05B 357.35B 554.66B
Curr. liabilities 67.69B 80.16B 137.86B 227.32B 337.70B
Non-curr. liab. 11.59B 11.14B 319.90M 27.01B 41.22B
Total liabilities 79.28B 91.30B 138.18B 254.33B 378.92B
Total equity 83.19B 86.74B 92.87B 103.01B 175.74B
Total liab. & eq. 162.48B 178.04B 231.05B 357.35B 554.66B

Figures in ₹ — millions (M), billions (B), trillions (T).

Understanding the Balance Sheet

The balance sheet captures Godrej Properties's financial position at a point in time — what it owns (assets), what it owes (liabilities), and the residual value to shareholders (equity). Total assets always equals total liabilities plus equity.

Godrej Properties Cash Flow Statement

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FY 2021 – FY 2025
Item Chart 2021 2022 2023 2024 2025
Net Income -856.60M 5.16B 7.95B 10.00B 17.23B
Operating CF -6.71B -4.52B -28.61B -6.93B -22.42B
Capex -1.28B -1.46B -3.06B -6.95B -2.12B
Investing CF -33.22B 1.24B 24.88B -20.80B -43.07B
Dividend Paid -100,000 0 0 0 0
Financing CF 42.59B 2.35B 8.32B 32.58B 67.10B
Cash (start) -19.70M 2.69B 1.79B 7.15B 13.06B
Cash (end) 2.69B 1.79B 6.39B 12.00B 14.66B
FCF -8.00B -5.98B -31.66B -13.88B -24.54B

Figures in ₹ — millions (M), billions (B), trillions (T).

Understanding Cash Flow

The cash flow statement tracks how Godrej Properties's cash moves through operations, investing, and financing activities. Free cash flow — operating cash minus capital expenditure — shows what is available to return to shareholders.

Data from audited consolidated filings. For educational purposes only — not investment advice. Last update: Mar-2025

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