Centrum Capital Limited

NSE:CENTRUM.NS

32.83 (INR) • At close November 5, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,940.3685,986.37639,682.1992,090.9161,688.0672,168.9433,017.1931,709.38857.3591,281.401609.817587.073486.677491.563277.923379.563
Kortetermijnbeleggingen 1,245.1841,815.40111,888.921,570.3622,035.261908.633147.531825.766440.121214.2833.92531.56229.56000
Liquide middelen en kortetermijnbeleggingen 7,940.3687,801.77751,571.1193,661.2783,723.3283,077.5763,164.7252,535.1461,297.481,495.681643.742618.635516.236491.563277.923379.563
Nettovorderingen 425.994340.996379.889345.692614.06813,920.6759,514.1995,036.6885,370.0913,984.2253,061.7462,221.021,996.963000
Voorraad -174,270.10467,631.33635,713.66415,363.77212,834.903658.331332.277170.827267.44243.21128.96774.4560.13626.74918.68311.466
Overige vlottende activa 173,844.11703.611947.95134.136160.552411.116314.182415.369258.967130.3449.049116.888159.6672,320.9261,848.0191,515.672
Totaal vlottende activa 116,225.94976,477.7288,612.62219,504.87817,332.85118,067.69713,325.3848,158.0317,193.985,653.4613,743.5033,030.9982,673.0022,839.2382,144.6261,906.701
Niet-vlottende activa:
Materiële vaste activa, netto 5,815.0914,480.413,464.675745.042564.096314.325316.185214.688261.841303.099200.407224.959312.438306.4292.946337.972
Goodwill 576.317516.142477.942872.279872.2791,393.319812.488776.007493.448523.094837.185837.1850000
Immateriële activa 288.433161.169112.72878.15592.25696.08798.784111.6990.15710.1267.0499.7620000
Goodwill en immateriële activa 8,282.009677.311590.67950.434964.5351,489.407911.272887.697583.605533.22844.234846.947849.697476.19119.49515.631
Langetermijnbeleggingen 40,338.39923,958.04126,853.719-1,100.908-1,009.343-640.733835.37387.485242.182313.36361.56764.05373.025000
Belastingvorderingen 173,844.117,881.2187,856.599514.668538.415284.105239.104300.595339.252328.976301.802248.307112.562000
Overige niet-vlottende activa -170,661.4483,928.869-2,427.19610,985.79310,901.5449,128.1674,358.0841,285.693738.781465.3981,016.261948.583922.536724.159723.468785.723
Totaal niet-vlottende activa 57,618.16140,925.84936,338.46712,095.02911,959.24710,575.2716,660.0143,076.1582,165.6611,944.0562,424.2712,332.8482,270.2581,506.7511,035.9091,139.326
Totaal activa 173,844.11117,403.569124,951.08731,599.90729,292.09728,642.96819,985.39811,234.1899,359.6417,597.5176,167.7745,363.8464,943.2614,345.9893,180.5343,046.027
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,882.8471,474.9031,129.836816.755884.207456.0851,135.752940.6511,323.618701.951725.658510.51372.099423.66319.254.291
Kortlopende schulden 43,636.22310,887.80211,436.0938,511.29410,450.4058,612.7376,378.3982,169.162,275.5292,236.1991,422.1291,849.1591,855.824000
Belastingschulden 00008.908017.63622.206116.8270097.4420000
Uitgestelde opbrengsten -198,851.937002,219.6271,764.4981,222.87614.772509.085453.103680.306683.078608.7994.726000
Overige kortlopende verplichtingen 156,414.246468.0543,653.56538.83650.41876.5630.463757.114.9010.9820.7330.659463.391110.339244.164233.886
Totaal kortlopende verplichtingen 3,081.37912,830.75556,219.49411,586.51213,149.52810,368.2558,129.3844,375.9964,067.1523,619.4382,831.5992,969.1272,696.039534.003263.364288.177
Langlopende verplichtingen:
Langetermijnschulden 43,636.22315,644.6911,321.08810,922.047,174.2729,554.9375,368.9321,885.21,063.48306.263729.33937.23342.6141,591.387667.926536.21
Uitgestelde opbrengsten niet-vlottend 156,414.246410.24634,429.633.93710.05833.07515,128.8067,761.3092.1820000000
Uitgestelde belastingverplichtingen niet-vlottend -148,047.884306.96752.536126.04193.53373.904148.938-7,761.3097.521000021.32630.09426.405
Overige niet-vlottende verplichtingen 101,330.28269,451.5683,033.8681,168.9694.3731,327.704-13,677.786163.0938.67431.35429.42419.0911.453000
Totaal niet-vlottende verplichtingen 153,332.86785,813.47148,837.09212,250.9187,972.23610,989.626,968.892,048.2911,111.857337.617758.76456.32354.0681,612.713698.02562.615
Totaal passiva 416.03398,644.226105,056.58623,837.4321,121.76421,357.87615,098.2756,424.2875,179.0093,957.0563,590.3623,025.452,750.1062,146.716961.384850.792
Eigen vermogen:
Preferente aandelen 00740.8821,762.9722,391.6030143.182858.52403,249.825000000
Gewone aandelen 416.033416.033416.033416.033416.033416.033416.033416.033416.033416.033416.03369.33969.33969.33968.28168.281
Ingehouden winsten 4,406.249-2,320.297-769.4511,762.9722,391.6033,356.087143.182858.524503.76309.30815.187-67.24-214.85193.402284.76260.993
Overige gereserveerde algehele resultaten 17,429.8641,845.9631,692.3031,757.8471,557.902-263.389-613.799-582.459-532.058-441.858-405.486-356.163-326.114-230.898-149.444-104.308
Overige totale aandeelhoudersvermogen 151,591.9645,992.2794,669.23795.179-539.7023,245.2023,294.0991,789.822,802.775-728.1112,540.6832,683.2752,658.3212,259.9172,012.0051,966.869
Totaal eigen vermogen van aandeelhouders 173,844.115,933.9786,749.0045,795.0036,217.4396,753.9323,382.6983,340.4413,190.512,805.1972,566.4162,329.212,186.6952,191.762,215.6022,191.835
Totaal eigen vermogen 209,539.96518,759.34319,894.5017,762.4798,170.3337,285.0934,887.1234,809.9024,180.6323,640.4622,577.4122,338.3962,193.1542,199.2732,219.1512,195.235
Totaal passiva en aandeelhoudersvermogen 43,636.223117,403.569124,951.08731,599.90929,292.09728,642.96819,985.39811,234.1899,359.6417,597.5176,167.7745,363.8464,943.2614,345.9893,180.5343,046.027