DEN Networks Limited

NSE:DEN.NS

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

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 12,869.99157.65457.79788.36878.42788.781,509.023,259.45,383.928,205.88,629.753,363.813,006.292,737.5832,432.301510.564
Kortetermijnbeleggingen 16,437.727,145.8924,384.8321,521.5316,332.3620,850.261,203.66484.79350.081,452.33,794.691,314.31223.331,883.0891,802.2841,115.775
Liquide middelen en kortetermijnbeleggingen 29,307.6927,303.5424,842.6222,309.8917,210.7821,639.042,712.683,744.195,7349,658.112,424.444,678.123,229.624,620.6724,234.5851,626.339
Nettovorderingen 1,091.841,229.96996.431,319.533,233.923,228.243,515.482,946.24,353.64,298.64,549.373,581.520000
Voorraad 0-11,104.93-6,468.02-5,863.85,109.04-20,709.84-529.84-266.79-357.280404.58567.010000
Overige vlottende activa 968.77533.35516.65481.47550.4242.68297.52594.97240.49673.4977.1467.061,442.073,076.6272,656.0331,909.187
Totaal vlottende activa 31,368.328,704.2227,008.4625,735.9826,104.1426,705.867,942.147,442.0311,353.5214,968.318,355.499,293.717,491.147,697.2996,890.6183,535.526
Niet-vlottende activa:
Materiële vaste activa, netto 3,713.994,324.524,184.774,796.526,141.417,775.6610,580.211,720.7914,877.8512,225.311,616.777,985.853,320.82,500.4992,019.9841,682.383
Goodwill 1,530.111,530.111,530.111,621.021,621.021,623.81,645.91,623.82,487.843,016.832,778.692,985.282,931.582,728.9622,501.7251,153.704
Immateriële activa 84.3664.2762.7942.7975.31132.51135.62151.39129.74111.9896.2150.94267.39314.439394.095132.343
Goodwill en immateriële activa 1,614.471,594.381,592.91,663.811,696.331,756.311,781.522,625.022,998.483,128.82,874.893,136.223,198.973,043.4012,895.821,286.047
Langetermijnbeleggingen 683.16667.27669.91618.35694.99684.87-338.64422.191,909.282,696.22,086.43-1,314.3-223.31-1,692.813-885.16-1,115.768
Belastingvorderingen 1,134.621,397.75480.59493.02449.23928.42929.75796.4397.73419.5451.39307.28227.94208.06155.7991.927
Overige niet-vlottende activa 750.95898.611,152.821,229.881,811.271,709.52,677.612,079.6664.71183.5232.233,401.521,223.161,883.0891,868.6431,483.247
Totaal niet-vlottende activa 7,897.198,882.538,080.998,801.5810,793.2312,854.7615,630.4417,644.0620,248.0518,653.317,261.7113,516.577,747.565,942.2366,055.0773,427.836
Totaal activa 39,265.4937,586.7535,089.4534,537.5636,897.3739,560.6223,572.5825,086.0931,601.5733,621.635,617.222,810.2815,238.713,639.53512,945.6956,963.362
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,624.492,671.42,485.982,899.932,463.582,644.313,454.043,328.833,126.922,774.83,114.743,492.52,592.62,670.3492,618.9082,001.978
Kortlopende schulden 25.2820.85-675.56-869.042,133.462,159.662,163.831,227.7525.11746.3708.722,273.69193.03000
Belastingschulden 520.76666.37615.57574.16407.99143.124.6374.91,311.740000000
Uitgestelde opbrengsten 421.82178.43675.56869.043,107.31,918.581,922.482,864.61160.9164.612.1911.927.7000
Overige kortlopende verplichtingen 1,031.81,452.311,684.71,977.59388.941,150.64361.821,7607,883.597,722.17,259.733,138.691,755.961,201.097857.0811,043.525
Totaal kortlopende verplichtingen 4,103.394,322.994,170.684,877.528,093.287,873.197,902.179,181.1411,696.5311,307.811,095.388,916.84,549.293,871.4463,475.9893,045.503
Langlopende verplichtingen:
Langetermijnschulden 229.83255.12-499.22-1,004.44-1,782.532,660.313,141.151,879.73,271.013,379.74,464.384,009.611,901.751,580.0331,750.1041,190.777
Uitgestelde opbrengsten niet-vlottend 185.14324.45634.721,127.591,915.282,652.333,532.5294.3131.1999.381.5570.3252.4000
Uitgestelde belastingverplichtingen niet-vlottend -185.14-201.0315.8316.6721.1813.670.753.453.2656.451.0647.7726.1876.91772.86315.085
Overige niet-vlottende verplichtingen 297.48324.45634.721,127.591,915.28120.1296.943,915.324.184.85.0921.2215.07000
Totaal niet-vlottende verplichtingen 527.31702.99786.051,267.412,069.215,446.436,771.365,892.723,459.643,540.24,602.084,148.921,995.41,656.951,822.9671,205.862
Totaal passiva 4,630.75,025.984,956.736,144.9310,162.4913,319.6214,673.5315,073.8615,156.1714,84815,697.4613,065.726,544.695,528.3965,298.9564,251.365
Eigen vermogen:
Preferente aandelen 000037,439.0934,759.20025252525002525
Gewone aandelen 4,767.664,767.664,767.664,767.664,767.664,767.661,953.181,935.681,777.421,777.41,775.671,327.711,329.91,304.91,304.9221.182
Ingehouden winsten -4,920.35-7,045.2-9,468.18-11,184.87-13,095.78-13,647.16-10,916.85-9,581.93-2,584.49189.581,444.351,064.82443.61000
Overige gereserveerde algehele resultaten 29,433.4239.4119.5151.29-11,191.94-9,077.24-5,724.93-4,663.36-6,940.16-0-2,941.81-1,701.9-1,094.17-723.578-401.792-140.597
Overige totale aandeelhoudersvermogen 4,920.3534,111.8134,111.8134,111.818,106.68,657.9822,548.2421,425.4422,284.1915,127.1218,281.318,118.827,398.677,164.7916,507.1152,462.615
Totaal eigen vermogen van aandeelhouders 34,201.0632,073.6729,530.827,745.8926,025.6325,460.447,859.649,115.8314,561.9617,119.118,584.528,834.458,078.017,746.1137,435.2232,568.2
Totaal eigen vermogen 34,634.7932,560.7730,132.7228,392.6326,734.8826,2418,899.0510,012.2316,445.418,773.619,919.749,744.568,694.018,111.1397,646.7392,711.997
Totaal passiva en aandeelhoudersvermogen 39,265.4937,586.7535,089.4534,537.5636,897.3739,560.6223,572.5825,086.0931,601.5733,621.635,617.222,810.2815,238.713,639.53512,945.6956,963.362