Bajaj Finserv Ltd.

NSE:BAJAJFINSV.NS

2066.9 (INR) • At close April 29, 2025
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) INR.

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 57,650.225,936.240,871.629,550.923,955.215,829.116,86015,279.624,246.615,287.324,694.222,658.713,965.315,4145,184.56,418.46,490.5
Kortetermijnbeleggingen 750,474.6582,787.9408,232.4413,219.1339,141.9016,817.340,087.119,334.18,151.21,5531,047.7271,550.90000
Liquide middelen en kortetermijnbeleggingen 57,650.225,936.2449,104442,77023,955.215,829.133,677.355,366.743,580.723,438.526,247.223,706.4285,516.215,4145,184.56,418.46,490.5
Nettovorderingen 00000000000000000
Voorraad 00000000000000000
Overige vlottende activa 000000000001,104.2167.3598.2000
Totaal vlottende activa 57,650.225,936.240,871.629,550.923,955.215,829.133,677.355,366.743,580.723,438.526,247.223,706.4285,516.215,4145,184.56,418.46,490.5
Niet-vlottende activa:
Materiële vaste activa, netto 38,272.429,372.123,65321,03121,690.211,985.69,547.68,790.98,093.57,9648,013.27,567.56,224.24,892.44,156.93,5903,029.5
Goodwill 6,893.46,893.46,893.46,893.46,893.46,893.46,893.46,893.44,290.34,290.34,290.34,290.31,950.50000
Immateriële activa 11,287.18,658.86,081.64,787.83,647.12,364.61,347.9805.1459.2380334.5238.8183.21,105.461.585.8216.6
Goodwill en immateriële activa 18,180.515,552.212,97511,681.210,540.59,2588,241.37,698.54,749.54,670.34,624.84,529.12,133.71,105.461.585.8216.6
Langetermijnbeleggingen 1,699,198.91,470,114.81,201,411.91,141,270946,506.2839,528.8474,484.1416,592.5337,642.4290,825.3235,134.4181,586.5429,707.1107,075.389,401.265,954.556,982.9
Belastingvorderingen 010,235.69,511.79,4598,854.77,798.74,395.84,333.93,434.42,575.51,710.61,312.21,068.41,066.9381.2235.2191.4
Overige niet-vlottende activa 3,565,994.3-1,480,350.4-1,210,923.6-1,150,729-955,360.9-847,327.5-496,668.8-437,415.8-353,919.8-306,035.1-249,483-194,995.3-439,133.4-114,140-94,000.8-69,865.5-60,420.4
Totaal niet-vlottende activa 5,321,646.144,924.336,62832,712.232,230.721,243.6496,668.8437,415.8353,919.8306,035.1249,483194,995.3439,133.4114,14094,000.869,865.560,420.4
Totaal activa 5,379,296.34,055,091.93,337,189.62,801,643.22,513,841.92,085,487.11,591,261.41,286,172.71,034,450.3882,684.2743,936.6653,788.8594,472.6539,777.1394,556.1225,345.9181,630.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 62,774.252,052.840,089.441,779.931,456.430,88328,343.221,800.860,280.153,976.951,503.315,199.512,226.110,541.4500.5843.9383.8
Kortlopende schulden 477,593.5123,533.2114,133.389,649.3152,739.70107,525000036,351.432,195.6519138.47960
Belastingschulden 4,274.73,865.911,170.711,111.59,408.99,535.73,726.11,070.8910.4449.3384.6438.800000
Uitgestelde opbrengsten 00000003,644.63,118.400000000
Overige kortlopende verplichtingen -544,642.4-179,451.9-165,393.4-142,540.7-193,605-40,418.7-139,594.3-22,871.6-61,190.5-54,426.2-51,887.9-51,989.7-44,421.7-11,060.4-638.90-383.8
Totaal kortlopende verplichtingen 564,331.7175,586154,222.7131,429.238,160.251,123208,845179,249.9135,071.8117,374.6130,472.382,208.471,740.11,112.8138.41,639.90
Langlopende verplichtingen:
Langetermijnschulden 2,032,708.71,349,291.5966,846.8741,683.66,056.5845,373.432,756.6323,884.6264,560.1190,203.7113,452.793,55069,80437,7273,107.63,107.63,107.6
Uitgestelde opbrengsten niet-vlottend 0867,473.1808,623676,43111,500.16,785.93,286.43,644.63,118.42,202.11,778.91,472.41,095.7645.80507.80
Uitgestelde belastingverplichtingen niet-vlottend 5,144.91,080.43,057.53,196.1800.4946.873.494.9107.4113.6104.688.279.586.813.400
Overige niet-vlottende verplichtingen 2,303,684.2-1,349,291.5-966,846.8-741,683.61,999,171.4-846,320.2-32,756.6-323,884.6-264,560.1-192,405.8-113,452.7-93,550-70,979.2-38,459.6-3,121-3,615.4-3,107.6
Totaal niet-vlottende verplichtingen 4,341,537.81,272,273.81,000,671.9808,276865,629.6677,205.2456,332.3343,734.7267,785.9192,519.4115,336.295,110.670,979.267,718.53,1213,615.4158,067.9
Totaal passiva 4,341,537.83,279,111.12,673,994.42,218,703.42,005,227.91,719,751.41,268,965.11,052,661.1839,698.5729,538.3613,570.5545,044.2521,364.1488,346.3359,266.3201,027.8158,067.9
Eigen vermogen:
Preferente aandelen 0000365,770.9282,478.900000000000
Gewone aandelen 1,594.11,592.6795.7795.7795.7795.7795.7795.7795.7795.6795.6795.6723.4723.4723.4723.4723.4
Ingehouden winsten 362,052.7300,784.1249,497.9212,257172,549.1149,487.5126,026.4103,336.783,765.367,66153,250.239,814.425,547.313,364.23,657.600
Overige gereserveerde algehele resultaten 96,686.266,106.257,254.952,837.6-12,975.6-9,721.8-8,882.7-8,589.4-8,254.6-7,721.9-7,731.3-7,406.3-7,027.8-6,571.2-5,430-4,503.5-3,540.7
Overige totale aandeelhoudersvermogen 142,953.495,590.594,915.592,409.7-313,998.249,808.619,277.359,921.851,42442,433.940,905.239,145.427,010.223,156.412,951.39,076.79,076.7
Totaal eigen vermogen van aandeelhouders 603,286.4464,073.4402,464358,300313,012.5237,659.2211,826.1161,503.3135,985110,890.594,95179,755.453,280.937,24430,128.320,879.420,193.9
Totaal eigen vermogen 1,037,758.5775,980.8663,195.2582,939.8508,614365,735.7322,296.3233,511.6194,751.8153,145.9130,366.1108,744.673,108.551,430.835,289.824,318.123,562.4
Totaal passiva en aandeelhoudersvermogen 5,379,296.34,055,091.93,337,189.62,801,643.22,513,841.92,085,487.11,591,261.41,286,172.71,034,450.3882,684.2743,936.6653,788.8594,472.6539,777.1394,556.1225,345.9181,630.3