Coforge Limited

NSE:COFORGE.NS

7953.8 (INR) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,3525,6994,4687,9998,1955,0794,1023,5022,878.6272,237.7962,166.0122,022.3932,222.7361,193.9191,429.7471,584.777660.29943.543923.75927.932
Kortetermijnbeleggingen 3172753902309604,1313,7333,7171,208.844993.789583.1781,114.382548.7471,321.8351,089.171903.74710.034444.486431.075326.2
Liquide middelen en kortetermijnbeleggingen 3,3525,9744,8588,2299,1559,2107,8357,2194,087.4713,231.5852,749.193,136.7762,771.4832,515.7542,518.9182,488.5171,370.3251,388.0291,354.8251,254.133
Nettovorderingen 19,83017,66715,44411,33310,8527,1266,5675,3626,7006,742.3086,938.7085,761.0193,314.9172,871.311,850.7081,934.9452,178.3251,860.5581,200.7051,189.287
Voorraad 0-241,806-124-10,852-7,126332.54785.13152.3353.7647.395.6055.03210.9395.642.9176.1126.218
Overige vlottende activa 2,8432,4471011,07912,3559,9268,3417,6548,684.3318,534.0978,614.9667,096.0712,332.173830.533155.861171.40593.426146.542171.294100.315
Totaal vlottende activa 26,02526,06422,20921,29521,51019,13616,17914,87612,774.3511,850.81311,416.49110,236.618,425.9636,223.2024,530.5194,605.8063,647.7163,398.0472,732.9362,549.953
Niet-vlottende activa:
Materiële vaste activa, netto 7,6296,8666,0144,5184,8084,2054,5074,8025,074.1654,497.7994,029.7013,227.0732,868.4212,399.2272,224.2742,144.5051,256.502732.325597.526386.501
Goodwill 11,73811,66510,7084,2264,0912,4482,4301,8482,413.2481,382.0571,493.9451,231.6390808.958781.244822.07885.998630.46289.203128.011
Immateriële activa 4,3954,6344,1131,4641,8971,5481,8631,826884.447902.069296.063201.8581,365.19122.161133.94189.387232.561167.436262.331439.762
Goodwill en immateriële activa 16,13316,29914,8215,6905,9883,9964,2933,6743,297.6952,284.1261,790.0081,433.4971,365.19931.119915.1841,011.4571,118.559797.898351.534567.773
Langetermijnbeleggingen 2,05428838-3,976-3,512-3,564-1,208.844-993.789-583.178-1,114.382-548.747-879.037-624.036-903.74601.412999.787218.342112.065
Belastingvorderingen 5,5833,7572,7361,5481,3021,0321,231971258.739386.351223.19122.438207.017142.687107.345434.76267.39680.1446.0623.247
Overige niet-vlottende activa 3,6533,8463,7562,0757524,3414,0003,8892,295.1461,741.8621,138.3921,482.981943.7071,321.8351,090.323905.327712.446444.486431.115328.344
Totaal niet-vlottende activa 35,05230,77027,33513,83912,8889,59810,5199,7729,716.9027,916.3496,598.1135,151.6064,835.5883,915.8313,713.093,592.3113,756.3163,054.6361,644.5771,417.93
Totaal activa 61,07756,83449,54435,13434,39828,73426,69824,64822,491.25219,767.16218,014.60415,388.21613,261.55110,139.0328,243.6098,198.1177,404.0326,452.6834,377.5133,967.883
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 8,0626,4816,1603,3982,6341,6471,4531,2371,654.2022,156.5471,837.1691,797.4771,284.062972.545783.366819.345802.697733.869577.466512.726
Kortlopende schulden 1,5444545942756193624038.91341.26538.75637.319423.0170000000
Belastingschulden 0615915041126497490.683431.516467.613490.91900000000
Uitgestelde opbrengsten 6587,7373,4331,145-6193806497490.683431.516467.613490.919949.1050000000
Overige kortlopende verplichtingen 5,0512,7211,6053,6075,3084,0674,3422,8152,843.092,988.6281,880.8851,609.6461,257.7911,535.5631,416.9033,132.9031,491.861,073.834606.516558.739
Totaal kortlopende verplichtingen 15,31517,39311,7928,4257,9426,1305,8034,5895,026.8895,617.9564,224.4233,935.363,913.9762,508.1082,200.2693,952.2492,294.5571,807.7031,183.9821,071.465
Langlopende verplichtingen:
Langetermijnschulden 3,3995,1684,3025517061362237463.79248.52952.6360.03463.481109.652217.153347.926646.843793.198420.168539.62
Uitgestelde opbrengsten niet-vlottend 2,3175951361,4331,2632,2248220800000000000
Uitgestelde belastingverplichtingen niet-vlottend 46658376629539739545538778900000000000
Overige niet-vlottende verplichtingen 2,3111,9324,3191,166-4512312,414-149.069338.522309.823278.62262.095000000.174.531
Totaal niet-vlottende verplichtingen 8,4937,7429,4382,0482,4911,8062,9332,957911.723387.051362.453338.656125.576109.652217.153347.926646.843793.198420.338544.151
Totaal passiva 23,80825,13521,23010,47310,4337,9368,7367,5465,938.6126,005.0074,586.8764,274.0164,039.5522,617.762,417.4224,300.1752,941.4012,600.9011,604.3191,615.615
Eigen vermogen:
Preferente aandelen 000029,21525,35300000000000000
Gewone aandelen 618611609606625618615614611.865610.449607.012602.372596.323592.511587.878587.267586.984391.005386.493386.493
Ingehouden winsten 29,37325,08022,40120,37519,41516,62114,02413,39311,471.4679,620.3399,367.3197,871.9368,502.586,731.2545,099.9813,044.2913,699.0443,139.422,189.8691,791.385
Overige gereserveerde algehele resultaten 35,6484,4993,9373,641-2,944-2,324-2,049-1,345-2,888.765-2,328.599-1,883.135-1,596.578-1,318.767-1,341.634-1,159.425-1,140.216-1,016.438-851.034-646.621-560.859
Overige totale aandeelhoudersvermogen -29,37363538439-22,346-19,5455,1504,2036,712.9055,671.2835,147.4914,063.471,318.7671,496.1521,269.3731,384.691,143.5461,023.075780.139683.953
Totaal eigen vermogen van aandeelhouders 36,26630,82527,33124,66123,96520,72317,74016,86515,907.47213,573.47213,238.68710,941.29,098.9037,478.2825,797.8083,876.0324,413.1353,702.4662,709.882,300.972
Totaal eigen vermogen 37,26931,69928,31424,66123,96520,79817,96217,10216,552.6413,762.15513,427.72811,114.29,2227,521.2735,826.1873,897.9424,462.6313,851.7832,773.1932,352.268
Totaal passiva en aandeelhoudersvermogen 61,07756,83449,54435,13434,39828,73426,69824,64822,491.25219,767.16218,014.60415,388.21613,261.55110,139.0328,243.6098,198.1177,404.0326,452.6834,377.5133,967.883