Gujarat Narmada Valley Fertilizers & Chemicals Limited

NSE:GNFC.NS

654.9 (INR) • At close September 18, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 15,290562727.11,371.7657.41,642.561.54132.96281.6631,659.6812,138.8262,918.491,836.9173,233.902554.1391,514.1341,304.791550.195
Kortetermijnbeleggingen 6,65018,110.37,938.110,349.5593.21,520331.23,317.80.101-389.7231510.8029.77502,538.5932,172.5622,724.00500
Liquide middelen en kortetermijnbeleggingen 21,94018,672.38,665.211,721.2657.41,642.5392.73,358.832.96281.6631,659.6812,138.8262,928.2651,836.9175,772.4952,726.7014,238.1391,304.791550.195
Nettovorderingen 9,96018,809.230,313.813,369.2593.21,52011,702.611,277.417,985.4615,661.9817,171.8810.80204,374.82402,887.16506,066.9034,319.759
Voorraad 11,19011,232.19,769.78,133.49,323.58,290.36,806.46,617.97,316.5627,497.6878,245.8646,369.9335,992.0484,635.3244,050.3384,307.5713,859.9793,884.6522,695.787
Overige vlottende activa 1,730-6.429.21,097.625,907.513,42613,887.83,315.44,084.5847,318.9324,124.06613,737.3899,492.4982,535.313166.8112,442.4343,941.62,846.561,286.742
Totaal vlottende activa 44,82048,707.248,777.934,321.436,481.624,878.821,086.924,569.529,419.56830,560.26231,201.49122,256.9518,412.81113,382.3789,989.64412,363.87112,039.71814,102.9068,852.483
Niet-vlottende activa:
Materiële vaste activa, netto 34,73035,120.536,787.238,424.538,517.539,410.641,28444,102.942,664.86844,558.41448,761.13645,483.60434,589.828,046.33721,806.03216,283.02513,033.36811,039.5748,803.993
Goodwill 0000000000000033.7867.56101.34135.1190
Immateriële activa 170185.3199.6211224.8246.6274.1269.3259.614255.279206.302115.749133.754149.848151.734141.008159.696176.079193.25
Goodwill en immateriële activa 170185.3199.6211224.8246.6274.1269.3259.614255.279206.302115.749133.754149.848185.514208.568261.036311.198193.25
Langetermijnbeleggingen 25,58029,641.713,481.48,656.76,727.26,473.27,519.75,551.61,914.9641,843.3131,306.491,287.6965.8510-1,643.447-1,288.656580.36400
Belastingvorderingen 06,243.87,0211,501.700002,067.454-1,843.3132,711.88200304.35600083.60775.949
Overige niet-vlottende activa 1,420-2,943.2911732.8-45,469.55,083.22,158.94,681.83,522.8349,506.3668,510.181,075.922,791.59866.2782,538.5932,172.5622,724.0051,485.0272,182.027
Totaal niet-vlottende activa 61,90068,248.158,400.249,526.747,70551,213.651,236.754,605.650,429.73454,320.05961,495.9947,962.87338,480.99529,366.81922,886.69217,375.49916,598.77312,919.40611,255.219
Totaal activa 106,720116,955.3107,178.183,848.184,186.676,092.472,323.679,175.179,849.30284,880.32192,697.48170,219.82356,893.80642,749.19732,876.33629,739.3728,638.49127,022.31220,107.702
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5,2206,177.36,678.45,1225,802.84,425.34,8173,893.63,022.5953,714.4142,940.3172,207.724,811.9473,487.5672,275.2841,711.1633,017.4943,938.9512,270.103
Kortlopende schulden 208.3830.18,598.22,079.33,030.314,255.120,705.36923,168.43922,320.63913,775.79211,958.055000000
Belastingschulden 0.40.4361411.6241.4228999.1236.3248.40000000000
Uitgestelde opbrengsten 329.56,002.65,460.13,609.23,1223,044.3999.12,052.33,411.5662,304.8295,150.1295,467.8224,042.211000000
Overige kortlopende verplichtingen 5,240.5730.81,367.6846.6479.7672.22,981480.675.85635.44834.641114.99341.2052,585.0751,955.2881,982.4971,869.2251,457.9231,464.604
Totaal kortlopende verplichtingen 10,81012,91913,514.19,607.918,002.710,221.111,827.420,681.627,215.38629,223.1330,445.72621,566.32720,853.4186,072.6424,230.5723,693.664,886.7195,396.8743,734.707
Langlopende verplichtingen:
Langetermijnschulden 1011.59.710.56.7005,334.110,373.21415,268.46116,718.69218,186.7137,941.38511,395.3385,550.5533,558.9953,135.1383,515.8482,723.653
Uitgestelde opbrengsten niet-vlottend 5,1605,768.66,377.96,985.17,591.68,198.28,804.79,411.210,682.37111,259.84811,837.32400000000
Uitgestelde belastingverplichtingen niet-vlottend 2,7003,4394,222.53,909.13,160.84,666.84,786.73,869.23,295.5193,295.5193,364.0722,358.2722,211.5722,412.4922,304.7232,345.5532,159.6472,403.3561,876.5
Overige niet-vlottende verplichtingen -2103,766.13,154.62,653.52,431.92,3591,734.41,326.71,130.0741,031.616876.038939.122812.609000000
Totaal niet-vlottende verplichtingen 7,66012,985.213,764.713,558.213,19115,22415,325.819,941.225,481.17830,855.44432,796.12621,484.10710,965.56613,807.837,855.2765,904.5485,294.7855,919.2044,600.153
Totaal passiva 18,47025,904.227,278.823,166.131,193.725,445.127,153.240,622.852,696.56460,078.57463,241.85243,050.43431,818.98419,880.47212,085.8489,598.20810,181.50411,316.0788,334.86
Eigen vermogen:
Preferente aandelen 0000117,525.900000000000000
Gewone aandelen 1,4701,554.21,554.21,554.21,554.21,554.21,554.21,554.21,554.1881,554.1881,554.1881,554.1881,554.1881,554.1881,554.1881,554.3741,554.3741,554.3741,464.762
Ingehouden winsten 42,459.852,139.141,665.825,657.219,967.316,342.912,485.26,888.3561.487-1,289.5043,231.1773,944.8674,850.22918,175.08700011,012.5967,785.029
Overige gereserveerde algehele resultaten 81,62034,224.733,547.230,337.5-39,735.4-37,226.2-34,749.4-32,573.4-33,011.251-30,571.089-24,465.835-22,720.3-21,285.333-20,008.717-18,866.255-17,752.771-16,627.853-15,593.291-12,810.868
Overige totale aandeelhoudersvermogen -42,459.83,133.13,132.13,133.1-46,319.169,976.465,880.462,683.258,048.31455,108.15249,136.09944,390.63439,955.73823,148.16738,102.55536,339.55933,530.46618,732.55515,333.919
Totaal eigen vermogen van aandeelhouders 83,09091,051.179,899.360,68252,992.950,647.345,170.438,552.327,152.73824,801.74729,455.62927,169.38925,074.82222,868.72520,790.48820,141.16218,456.98715,706.23411,772.842
Totaal eigen vermogen 83,09091,051.179,899.360,68252,992.950,647.345,170.438,552.327,152.73824,801.74729,455.62927,169.38925,074.82222,868.72520,790.48820,141.16218,456.98715,706.23411,772.842
Totaal passiva en aandeelhoudersvermogen 106,720116,955.3107,178.183,848.184,186.676,092.472,323.679,175.179,849.30284,880.32192,697.48170,219.82356,893.80642,749.19732,876.33629,739.3728,638.49127,022.31220,107.702