DCB Bank Limited

NSE:DCBBANK.NS

119.44 (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 30,658.823,684.240,907.60430,393.4235,458.727,933.75623,719.84711,924.6228,915.64412,275.71410,930.21412,534.9284,565.5344,871.0953,323.486,533.97110,615.534,676.8683,007.283,584.303
Kortetermijnbeleggingen -61,317.6-18,459.695-29,157.022-9,855.04-8,079.8660247.45301,575.4221,960.6630000000000
Liquide middelen en kortetermijnbeleggingen -30,658.85,224.50511,750.58220,538.3827,378.83427,933.75623,967.311,924.62210,491.06614,236.37710,930.21412,534.9284,565.5344,871.0953,323.486,533.97110,615.534,676.8683,007.283,584.303
Nettovorderingen 9,817.6512,859.98410,176.8343,230.1362,507.3853,216.6323,477.8892,359.992,384.9352,490.1383,053.793,115.5700000000
Voorraad 20,841.15-43,559.836-57,227.718-35,665.027-39,939.968-29,618.048-24,921.687-12,943.514-11,854.4500000000000
Overige vlottende activa 30,658.830,699.85247,050.88432,434.89137,432.58329,618.04824,921.68712,943.51411,854.4500000000000
Totaal vlottende activa 30,658.85,224.50511,750.58220,538.3827,378.83431,150.38827,445.18914,284.61212,876.00116,726.51513,984.00415,650.4984,565.5344,871.0953,323.486,533.97110,615.534,676.8683,007.283,584.303
Niet-vlottende activa:
Materiële vaste activa, netto 8,648.98,262.76,611.8385,685.0985,458.7285,259.8324,940.1764,885.6782,480.2082,366.7532,386.4222,394.4711,846.4091,275.0451,357.5541,489.253997.849814.4441,071.4951,163.998
Goodwill -2,721.4220000000000000000000
Immateriële activa 634.3581485.1507.1262.8273.2172.6121.9966137.3000000000
Goodwill en immateriële activa -2,087.122581485.1507.1262.8273.2172.6121.9966137.3000000000
Langetermijnbeleggingen 162,108.5125,824.690,982.33984,136.92777,415.02778,440.90962,189.57458,179.44243,333.30739,621.69132,307.72929,884.16425,177.56822,950.44820,179.30216,217.27521,345.62818,466.33212,919.19718,338.369
Belastingvorderingen 2,087.122-118,142.94-84,855.601-78,958.929-72,219.099886.422781.082752.8661.641,927.44434,656.851000000000
Overige niet-vlottende activa 428,953.5-8,262.68-6,611.838-5,685.098-5,458.728-1,159.622-953.682-874.7-757.6-41,988.444-34,694.151-32,278.635-27,023.977-24,225.493-21,536.856-17,706.528-22,343.477-19,280.776-13,990.692-19,502.367
Totaal niet-vlottende activa 599,710.98,262.686,611.8385,685.0985,458.72883,700.74167,129.7563,065.1245,813.51541,988.44434,694.15132,278.63527,023.97724,225.49321,536.85617,706.52822,343.47719,280.77613,990.69219,502.367
Totaal activa 630,369.7523,658.7448,401.416396,021.289385,051.407357,918.325302,220.921240,463.786191,185.231161,323.08129,231.372112,788.23986,768.47373,723.461,366.65259,430.1875,774.81852,623.54537,417.22646,594.572
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 6,152.3884,616.0473,821.8484,249.0814,414.5444,019.6583,193.9222,480.2142,138.7741,783.6781,526.8871,057.09700000000
Kortlopende schulden 30,973.59513,339.317,318.319,081.9447,901.711,411.7839,941.03911,912.4247,802.16300000000000
Belastingschulden 00000000000000000000
Uitgestelde opbrengsten -6,152.388-8,723.253-13,496.452-14,832.863-3,487.156-7,392.125-6,747.117-9,432.21-5,663.38900000000000
Overige kortlopende verplichtingen 134,449.099-4,616.047-3,821.848-4,249.081-4,414.544-4,019.658-3,193.922-2,480.214-2,138.774-1,783.678-1,526.887-1,057.09700000000
Totaal kortlopende verplichtingen 165,422.6944,616.0473,821.8484,249.0814,414.5444,019.6583,193.9222,480.2142,138.7741,783.6781,526.8871,057.09700000000
Langlopende verplichtingen:
Langetermijnschulden 62,194.841,181.246,717.81448,545.56636,748.33132,666.81925,446.94417,624.29712,332.92310,706.6379,953.51613,793.04200000000
Uitgestelde opbrengsten niet-vlottend -702.4-59.4-51.43-423.400-8,883.348-8,140.238-8,828.01600000000000
Uitgestelde belastingverplichtingen niet-vlottend 702.459.451.43423.400256.318241.703237.28400000000000
Overige niet-vlottende verplichtingen 517,462.2-13,339.3-23,217.714-22,382.366-10,570.53108,627.037,898.5358,590.73200000000000
Totaal niet-vlottende verplichtingen 579,65727,841.923,500.126,163.226,177.832,666.81925,446.94417,624.29712,332.92310,706.6379,953.51613,793.04200000000
Totaal passiva 579,657477,997.6407,913.173358,435.41350,829.89326,762.313274,142.602218,414.946173,263.513145,437.327117,691.778102,757.64678,154.80867,508.50155,355.59853,446.8269,378.36449,265.635,775.34944,600.286
Eigen vermogen:
Preferente aandelen 000043,098.717000000000000000
Gewone aandelen 3,1283,1153,109.7653,105.3613,104.1543,095.4693,080.8492,853.6442,844.3612,820.1232,503.2462,501.1162,406.6552,001.7121,999.8521,742.9891,742.9891,476.321761.322645.788
Ingehouden winsten 16,768.20113,848.79711,072.7029,385.2967,626.0915,838.7864,267.0532,740.7031,365.104-42.262-1,384.067-2,494.652-3,200.0320000000
Overige gereserveerde algehele resultaten 34.114,996.84312,629.71511,438.469-3,394.053-2,953.657-2,546.479-2,032.617-1,660.68-1,402.714-1,110.585-942.999-894.9790000000
Overige totale aandeelhoudersvermogen 30,782.39913,700.4613,676.06113,656.753-16,213.39225,175.41423,276.89618,487.1115,372.93314,510.60611,53110,967.12810,302.0214,213.1874,011.2024,240.3714,653.4651,881.624880.5551,348.498
Totaal eigen vermogen van aandeelhouders 50,712.745,661.140,488.24337,585.87934,221.51731,156.01228,078.31922,048.8417,921.71815,885.75311,539.59410,030.5938,613.6656,214.8996,011.0545,983.366,396.4543,357.9451,641.8771,994.286
Totaal eigen vermogen 50,712.745,661.140,488.24337,585.87934,221.51731,156.01228,078.31922,048.8417,921.71815,885.75311,539.59410,030.5938,613.6656,214.8996,011.0545,983.366,396.4543,357.9451,641.8771,994.286
Totaal passiva en aandeelhoudersvermogen 630,369.7523,658.7448,401.416396,021.289385,051.407357,918.325302,220.921240,463.786191,185.231161,323.08129,231.372112,788.23986,768.47373,723.461,366.65259,430.1875,774.81852,623.54537,417.22646,594.572