Future Consumer Limited

NSE:FCONSUMER.NS

0.48 (INR) • At close November 4, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 94.719139.208276.236369.086482.898558.298430.669468.088224.755373.025104.39389.317253.93873.223181.049128.75340.011
Kortetermijnbeleggingen 0.50633.890.17105.9107.658125.666106.4217.357200.031,000.0161,238.4461,040.1442,972.3760000
Liquide middelen en kortetermijnbeleggingen 95.225173.098276.406474.986590.556683.964537.09475.445424.7851,373.0411,342.8391,129.4613,226.31473.223181.049128.75340.011
Nettovorderingen 0.8562,730.1213,188.6138,054.25210,488.2738,065.0376,469.2784,292.7032,309.4161,550.3651,099.6481,908.524,403.7740000
Voorraad 19.424295.633785.704569.3021,662.0122,468.482,242.4311,757.3371,223.9781,114.7491,044.629588.7541,585.1841,213.0271,012.269386.828251.017
Overige vlottende activa 3,886.964109.569203.63258.7631.431132.47183.83123.806-0.0033,876.2553,024.9914.43467.1412,763.7162,682.856554.3461,351.375
Totaal vlottende activa 4,002.4693,308.4214,454.3539,357.30312,742.27211,349.9519,432.6296,649.2913,958.1766,364.0455,412.4593,631.1699,282.4134,049.9653,876.1741,069.9281,642.403
Niet-vlottende activa:
Materiële vaste activa, netto 58.003538.5814,186.4914,388.8435,476.776,123.3455,741.7895,100.8873,567.5172,684.068752.687661.95823.0532,486.8731,078.857759.146740.055
Goodwill 026.215691.102691.102691.1021,423.4651,638.9351,676.9354,660.2744,883.312,124.2242,083.6423,942.8713,159.3872,287.304134.046125.132
Immateriële activa 0.97316.2971,570.0471,714.4391,944.9332,143.4322,338.642,485.9811,751.3781,819.4791,920.9642,022.4471,779.9080000
Goodwill en immateriële activa 0.97342.5122,261.1492,405.5412,636.0353,566.8973,977.5754,162.9166,411.6526,702.7894,045.1884,106.0895,722.7793,159.3872,287.304134.046125.132
Langetermijnbeleggingen 855.17850.22385.21652.547663.035737.126256.215419.036-79.528-883.705-1,087.17199.807-987.691,217.6191,009.2892,219.7870
Belastingvorderingen 0819.8530.510.412228.159189.9752.911.0750.67705.845014.4511.0763.7570.2530
Overige niet-vlottende activa 160.905140.5521,240.8531,329.991628.938725.494813.413584.6931,028.4751,602.2911,464.6991,204.0343,456.111,030.489754.745622.6582,771.09
Totaal niet-vlottende activa 1,075.0591,591.7217,774.2138,777.3349,632.93711,342.83710,791.90210,268.60710,928.79310,105.4435,181.2486,071.889,028.7037,895.4445,133.9513,735.893,636.277
Totaal activa 5,077.5284,900.14212,228.56618,134.63722,375.20922,692.78820,224.53116,917.89814,886.96916,469.48810,593.7079,703.04918,311.11611,945.4099,010.1254,805.8185,278.68
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 390.814518.1381,169.5121,993.7833,090.0633,003.4842,390.9211,671.1811,383.7831,296.191,102.695919.75600000
Kortlopende schulden 4,094.3774,129.1353,973.6284,171.2634,010.9285,359.5943,075.1613,172.4052,825.6953,126.6881,095.6857.75800000
Belastingschulden 00000000000000000
Uitgestelde opbrengsten 0580.1382,312.7572,589.777576.479658.445759.958538.452294.638179.387114.026242.48900000
Overige kortlopende verplichtingen 3,641.211,333.666657.985563.46356.394.9910.8470.181-8.56472.18223.32315.1193,333.3141,360.563777.984430.627948.086
Totaal kortlopende verplichtingen 8,126.4016,561.0778,113.8829,318.2838,033.779,116.5136,236.8875,382.2194,495.5524,674.4472,335.7291,185.1223,333.3141,360.563777.984430.627948.086
Langlopende verplichtingen:
Langetermijnschulden 6.042152.9221,801.3052,066.6992,944.532,777.0873,101.4161,541.9233,253.9283,607.3520.7940.049186.6971,938.9641,687.817557.568570.943
Uitgestelde opbrengsten niet-vlottend 00314.545343.737342.26375.172407.121501.37690.73385.02208.11100000
Uitgestelde belastingverplichtingen niet-vlottend 014.626339.136346.07346.287413.347413.347440.910.0020.00200.027003.20640.4782.41
Overige niet-vlottende verplichtingen 2.94315.03156.307140.398165.94132.56470.92188.49666.84368.58337.2856.047415.73346.575741.73387.84117.937
Totaal niet-vlottende verplichtingen 8.985182.5782,611.2932,896.9043,799.0173,698.173,992.8052,572.7053,411.5063,760.95938.07914.234602.4272,285.5392,432.756685.887691.29
Totaal passiva 8,135.3866,743.65510,725.17512,215.18711,832.78712,814.68310,229.6927,954.9247,907.0588,435.4062,373.8081,199.3563,935.7413,646.1023,210.741,116.5141,639.376
Eigen vermogen:
Preferente aandelen 000012,320.31711,282.29100000000000
Gewone aandelen 11,962.90411,919.22411,901.49111,841.52911,526.65811,442.85411,412.8919,974.9549,944.6529,942.8649,587.869,457.46215,762.4378,262.4375,762.4373,688.4373,638.437
Ingehouden winsten 0-17,791.581-14,497.54-10,063.105-5,322.057-6,021.443-5,809.297-5,632.432-3,682.996-2,691.464-1,667.896-1,497.95300000
Overige gereserveerde algehele resultaten -15,020.815197.107267.698328.097-1,777.962-1,302.904-984.064-656.017-822.942-658.17-302.539-212.723-387.485-581.732-342.157-83.397-15.426
Overige totale aandeelhoudersvermogen 03,831.6723,831.6723,813.012-6,204.66-5,498.6915,332.9855,198.5041,326.4951,102.576439.424547.812-1,379.041272.026-362.628-3.575-101.644
Totaal eigen vermogen van aandeelhouders -3,057.911-1,843.5781,503.3215,919.53310,542.2969,902.1079,952.5158,885.0096,765.2097,695.8068,056.8498,294.59813,995.9117,952.7325,057.6533,601.4643,521.367
Totaal eigen vermogen -3,057.857-1,843.5131,503.3915,919.4510,542.4229,878.1059,994.8398,962.9746,979.9118,034.0828,219.8998,503.69314,375.3758,299.3075,799.3853,689.3043,639.304
Totaal passiva en aandeelhoudersvermogen 5,077.5294,900.14212,228.56618,134.63722,375.20922,692.78820,224.53116,917.89814,886.96916,469.48810,593.7079,703.04918,311.11611,945.4099,010.1254,805.8185,278.68