GHCL Limited

NSE:GHCL.NS

585.95 (INR) • At close November 4, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062004
Operationele Activiteiten:
Nettowinst 7,93914,963.78,811.74,385.74,9465,411.14,0744,952.72,576.41,819.0191,734.927713.691456.828786.923795.655351.713954.081,456.62508.78
Afschrijvingen & Amortisatie 1,0211,345.61,318.71,334.11,312.11,162.91,101856.9817.4849.182817.384820.811,064.551,000.6919.742878.8681,100.771,057.34387.54
Uitgestelde Inkomstenbelasting 0-5,215.6-1,991.2-1,031.2-950.3-1,012.4-634-1,279.400000000000
Aandelen Gebaseerde Vergoedingen 12.1132.90.415.6-71.919935.157.500000000000
Verandering in Werkkapitaal 1,634.9-3,110.4-2,407.6599.8-183.7-1,391.477.7-1,363.6-92.5-579.738243.426357.116265.707-163.208-202.3693,201.523-529.43-5,543.35-444.38
Vorderingen 387-656.3-1,030.6532.5114.9-574.1605.6-836625632.2-952.209-643.6720000000
Voorraden 1,212.6-1,910.4-3,813.4271.2-221.2-803.8-523.7-810.2-159.2550.007-1,110.884-806.27439.017-719.299-393.8853,052.8892,222.2-6,413.31-125.67
Crediteuren -227.9-680.2268.1-305.2-99.910.7483.3618-1,003.20000000000
Overig Werkkapitaal 263.2136.52,168.3101.322.5-24.2601.4-553.466.7-1,129.7451,354.311,163.386-173.31556.091191.516148.634-2,751.63869.96-318.71
Overige Niet-Contante Posten -2,066.9445.4702.2906.31,191.51,238.21,241.31,357.31,923.62,071.7671,726.0942,945.9052,201.8911,269.9721,017.141,778.432-1,156.82-1,668.423.65
Kasstroom uit Operationele Activiteiten 7,857.78,561.66,434.26,210.36,243.75,607.45,895.14,581.45,224.94,160.234,521.8314,837.5223,988.9762,894.2872,530.1686,210.536368.6-4,697.81455.59
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,065.1-3,575.6-3,374.5-1,119.2-2,157.2-2,827.2-2,879.8-3,776.1-2,511.8-1,377.518-845.914-1,179.655-335.297-456.636-772.616-1,400.872-1,775.13-8,364.23-729.85
Netto Overnames 0.42,932.70097.397.760.514.81304.30672.831105.732016.66428.1161,013.4900
Aankoop van Beleggingen -28,854.8-36,952.100-2.3-104.100-2,080-3,435.005-1,397.292-0.052-38.7680-204.945-5.705-51.390-95.07
Verkoop/verval van Beleggingen 24,47033,472.74.313.3-956.40.72.32,082.73,476.061,391.3933.6631.458205.8360.0746.1492,396.5911.920
Overige Investeringsactiviteiten -4,275.396.84.517.6102.2-232.985.92818.662.258-319.594-644.112-118.24-85.553-245.175-1,695.738-375.57638.09166.84
Kasstroom uit Investeringsactiviteiten -5,449.5-4,025.5-3,365.7-1,088.3-2,055-3,060.1-2,793.9-3,748.1-2,490.5-1,274.205-1,167.101-1,747.325-385.115-336.353-1,205.998-3,068.051,207.99-7,714.22-658.08
Financieringsactiviteiten:
Schuldaflossingen -1,511.6-1,356.8-2,494.1-4,739.9-3,145.9-2,024.5-2,666.5-2,550.1-2,342.4-4,617.566-4,983.216-3,052.387-5,720.433-5,993.82-4,295.328-3,631.976-1,447.58-360.27-307.46
Uitgifte van Gewone Aandelen 51.535.350.6027.461.9562,398000000000263.660
Terugkoop van Gewone Aandelen 0-2,551.21,981.90-694.638.1-653.2-14400000000012,189.520
Uitgekeerde Dividenden -1,664.6-1,426.8-520-58.6-876-490.8-342.2-505.6-268.4-233.976-233.327-233.162-231.77-232.435-234.067-280.281-314.9-258.81-159.48
Overige Financieringsactiviteiten -184.2-62.10.9-941.71,195.2-177.7527.6-327.8-36.11,887.4051,988.252134.8252,353.8963,693.2572,965.743784.127-363.85389.35682.51
Kasstroom uit Financieringsactiviteiten -3,155-5,361.6-980.7-5,689.7-3,393.1-2,593-3,078.3-1,129.5-2,646.9-2,964.137-3,228.291-3,150.724-3,598.307-2,532.998-1,563.652-3,128.13-2,126.3312,223.45215.57
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00.100000000000000000
Netto Kasstroomverandering 3,517.3-825.42,087.8-567.7795.6-45.722.9-296.287.5-78.112126.439-60.5275.55424.936-239.48214.356-549.74-188.5813.08
Kaspositie aan het Einde van de Periode 4,9151,612.12,437.5349.7917.444.4115.892.9426.6339.103417.215290.776351.303325.146300.21539.692525.341,075.08339.11