kindly calculate the market value of equity and debt
Balance Sheet As at June 30, 2019 June 30, 2019 June 30, 2018 June 30, 2017 Note Restated Restated ASSETS -Rupees - - - NON-CURRENT ASSETS Fixed Assets Property Plant and Equipment 5 353,612,373 402,314,103 402,261,606 Long term deposits 1,819,200 1,819,200 1,819,200 355,431,573 404,133,303 404,080,806 CURRENT ASSETS Stores and spares 4,666,032 7,419,631 2,847,213 Stock-in-trade 329,273,427 288,152,301 268,859,814 Trade debts 9,885,896 9,310,190 15,664,678 Short term investments 6,253,392 13,166,533 24,578,631 Advances, deposits, prepayments & other receivables 15,349,681 27,413,047 26,298,451 Taxation - net 11,246,404 10,397,422 6,138,695 Cash and bank balances 11 10,685,820 1,855,717 601,070 387,360,652 357,714,841 344,988,552 742,792,225 761,848,144 749,069,358 EQUITY AND LIABILITIES SHARE CAPITAL AND RESERVES Authorized share capital 105,100,000 (2018: 105,100,000) ordinary shares of Rupees 10 each 1,051,000,000 1,051,000,000 1,051,000,000 Issued, subscribed and paid up share capital and reserves 98,461,828 (2015 : 98,461,828) ordinary shares of Rs.10 each 12 984,618,280 984,618,280 984,618,280 Reserves 13 (464,666,474) (415,669,179 (377,896,796) Surplus on revaluation of property, plant and equipment 14 27,445,919 24,626,998 21,719,005 Total equity 547,397,725 593,576,099 628,440,489 LIABILITIES NON-CURRENT LIABILITIES Deferred liabilities 15 19,523,867 12,891,231 15,083,025 Security deposit payables 16 56,600,000 76,123,867 12,891,231 15,083,025 CURRENT LIABILITIES Trade and other payables 17 118,043,133 155,380,814 105,545,844 Short term portion of gratuity liability 1,227,500 119,270,633 155,380,814 105,545,844 CONTINGENCIES AND COMMITMENTS 18 742,792,225 761,848,144 749,069,358 The annexed notes 1 to 36 form an integral part of these financial statements