DLF Limited

NSE:DLF.NS

745.2 (INR) • At close August 8, 2025
Overview | Financials

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

202520242023202220212020201920182017201620152014201320122011201020092008200720062005
Operationele Activiteiten:
Nettowinst 43,676.221,505.45215,024.19411,645.9278,395.686,534.6376,456.476-1,498.756,002.6189,534.0056,266.4835,207.4428,058.6515,474.98620,002.03725,046.26244,695.99795,585.19525,401.8876,701.869865
Afschrijvingen & Amortisatie 1,506.61,479.4671,486.3271,494.3871,594.832,003.032,246.345,335.35,724.9047,777.935,447.8556,629.3267,962.3877,277.2696,811.1543,664.0482,387.696900.581578.103358.245333
Uitgestelde Inkomstenbelasting 000000000000000000000
Aandelen Gebaseerde Vergoedingen 000000019.80640.7250.56575.083183.261324.9500000000
Verandering in Werkkapitaal 26,785.96,408.6815,628.3517,540.084-7,020.186-10,949.986-241.171-34,153.525-45,216.71-3,738.175-6,581.794-10,170.4309.348-4,682.675-4,772.23257,431.782-44,997.307-105,814.799-73,494.315-15,755.4624,416
Vorderingen -2,315.7361.3605.415241.293308.5-815.669-542.977-1,786.27-2,129.213-4,958.867-14,070.891-18,219.449-6,267.12900000006,036
Voorraden -10,804.3-15,329.27,920.5819,868.96914,800.30525,233.94328,454.6943,098.816-29,670.427-4,311.29312,908.054-3,244.169-8,163.334-6,108.102-20,349.313-9,125.339-7,525.244-15,375.362-48,003.69801,439
Crediteuren 01,498.91,253.9483,199.3472,190.734-1,409.0130-18,894.3442,777.357-526.2410000000000-3,059
Overig Werkkapitaal 39,905.919,877.681-4,151.593-5,769.525-24,319.725-33,959.247-28,152.888-37,252.341-15,546.283573.118-19,489.848-6,926.2318,472.6821,425.42715,577.08166,557.121-37,472.063-90,439.437-25,490.61700
Overige Niet-Contante Posten -19,616.3-4,005.5241,613.7687,637.77811,631.5065,662.70911,968.326102,761.68724,510.64917,274.62315,235.63313,009.2723,757.8867,127.9225,528.796136.054-333.76-16,638.943-16,807.104293.785-413
Kasstroom uit Operationele Activiteiten 52,352.425,388.07623,752.6428,318.17614,601.833,250.3920,429.97172,444.712-8,978.53930,848.38320,368.17714,675.6420,088.27125,197.50227,569.75586,278.1461,752.626-25,967.966-64,321.429-8,401.5635,201
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -960.2-1,155.205-637.435-1,484.328-135.081-2,063.071-6,041.415-7,548.314-2,146.785-6,190.146-8,691.751-9,493.234-13,193.248-5,758.326-11,012.758-139,075.706-33,783.149-47,831.437-21,620.329-6,466.517-8,329
Netto Overnames 7.20-88.35752227.2860,507.8122,506.38168,429.02114.592798.4674,378.78821,900.3124,112.4558,404.568000010,243.03-7,581.398-35
Aankoop van Beleggingen -54,959.8-45,225.976-26,789.59-19,006.16-30,136.483-116,840.565-15,748.683-8,753.070-476.991-1,441.671-5,238.72-3,240.615-7,015.707-3,897.976-182,341.722-6,173.643-16,459.234-3,935.649-8,015.5010
Verkoop/verval van Beleggingen 1,21217,369.72913,863.76819,523.42427,805.086104,434.28723,973.793143.5188,264.2931,192.6334,316.83922,172.21334,674.5716,299.45548,672.36151,252.3891,738.62,042.49316,35865.602591
Overige Investeringsactiviteiten 3,251.213,724.7799,025.3773,074.7863,978.80219,129.705-4,641.597-188,053.3422,598.445-4,546.8042,421.3859,902.97-2,710.215-2,166.5056,808.0027,104.8872,317.0372,106.196824.8240
Kasstroom uit Investeringsactiviteiten -35,430.6-15,286.673-4,626.2372,629.7221,539.60465,168.16848.478-35,782.1888,715.953-9,222.841983.5939,243.54119,642.948-236.51540,569.628-163,060.152-35,901.155-60,141.9881,051.052-21,172.99-7,773
Financieringsactiviteiten:
Schuldaflossingen 1,853.614,855.97-8,736.061-26,784.845-12,364.869-85,474.185-3,692.58736,989.96339,383.7316,903.82522,859.217-22,156.472-2,646.23210,752.09923,157.06653,810.67941,113.73423,177.02658,010.69331,987.0552,595
Uitgifte van Gewone Aandelen 0000022,49930,942.2377,501.1420.5743.5770.95215,147.5191,394.071,054.2671,321.5840.4819.455349.9634.67600
Terugkoop van Gewone Aandelen 0000000-19,687.88600000-110.62-12,378.718-7.78-1,423.5650000
Uitgekeerde Dividenden -12,335.9-9,868.546-7,428.431-4,968.558-1,987.489-8,077.144-1,695.618-8,162.851-39.209-7,271.885-5,496.159-5,182.812-5,016.299-5,107.282-8,296.738-3,544.225-3,433.383-6,819.821-17.712-15.916-16
Overige Financieringsactiviteiten -13,543.3-3,221.373-3,967.014-6,528.496-7,485.497-24,165.194-16,799.87-18,960.312-31,474.271-18,336.725-32,838.174-33,126.089-33,245.476-955.576-13,206.79223,915.422-11,832.33787,660.6629,496.141-1,488.2920
Kasstroom uit Financieringsactiviteiten -24,025.61,766.051-20,131.506-38,281.899-21,837.855-94,911.0788,754.162-57,225.9967,870.825-19,979.944-15,474.164-45,317.854-39,513.937-24,381.624-64,034.06574,174.57724,424.449104,367.8364,594.14630,482.8472,579
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0020.12240.094-34.915-87.18-18.7180000000000000.0020
Netto Kasstroomverandering -6,423.20211,864.784-984.981-7,293.907-5,731.336-26,579.729,213.893-20,563.4727,608.2391,645.5985,877.6038,601.327217.282579.3634,105.318-2,607.429-9,724.0818,257.8761,323.769908.2960
Kaspositie aan het Einde van de Periode 7,515.113,938.3022,073.5183,058.49910,352.40616,083.74242,663.44213,562.42834,125.925,962.12524,316.52718,438.9249,534.89,317.51812,459.4018,354.08310,961.51220,685.5922,428.5941,104.868173