Hinduja Global Solutions Limited

NSE:HGS.NS

769.7 (INR) • At close November 5, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 8,814.64511,123.620,480.8685,300.3815,308.2433,232.4614,615.6223,650.3473,748.1123,542.6944,550.0534,060.9297,197.6596,189.1970.0640.0670.0490.051
Kortetermijnbeleggingen 21,603.0491,973.70414,646.58148.21155.429-2,688.11-2,383.053,148.201-2,119.5837.1161.3381.2681.2051,349.9940.0090.0050.0040.015
Liquide middelen en kortetermijnbeleggingen 30,417.69413,097.30435,127.4495,348.5925,363.6723,232.4614,615.6226,798.5483,748.1123,549.814,551.3914,062.1977,198.8647,539.1910.0730.0720.0530.066
Nettovorderingen 29,701.6827,740.5957,305.41112,305.4029,893.28511,720.8768,324.4177,481.118,173.6715,916.7825,336.7684,471.792000000
Voorraad 166.448166.613123.2877,414.69301,077.969865.90300594.9981,142.6820000000
Overige vlottende activa 3,675.5432,058.993345.00613.94511.67222.99832.572553.562,815.453939.493852.671961.039931.1765.8850.0030.0040.0020.001
Totaal vlottende activa 63,961.36750,793.48959,680.92925,082.63220,532.65816,054.30413,838.51412,804.50512,717.44111,001.08311,883.5129,952.11211,378.8349,775.4080.090.0890.0670.078
Niet-vlottende activa:
Materiële vaste activa, netto 12,279.28912,468.3375,439.77211,728.99313,167.265,979.7735,562.6325,826.6465,293.5764,808.4113,776.7972,974.3433,103.9332,088.120.020.0210.0160.012
Goodwill 9,595.5279,494.7523,156.2113,397.2043,391.8313,355.0152,883.0252,986.4353,074.2732,942.8876,693.1976,122.50301,480.8490.0090.0080.0080.008
Immateriële activa 5,597.6626,058.2391,391.524686.406817.2381,041.593754.8073,983.6213,927.808518.409432.9886,458.0440204.5360.0010.00100
Goodwill en immateriële activa 15,193.18915,552.9914,547.7354,083.614,209.0694,396.6083,637.8323,983.6213,892.9062,942.8867,126.1856,458.0445,778.3221,685.3850.010.0080.0080.008
Langetermijnbeleggingen 12,230.70427,438.25624,727.345664.98-7.6462,833.4112,494.867-2,697.9452,221.67973.267.13974.32561.576-1,336.7-0.009-0.005-0.004-0.011
Belastingvorderingen 2,580.7451,874.091646.429695.5131,047.598418.354725.255648.31415.2933.6871,365.9071,113.7931,094.896000-00
Overige niet-vlottende activa 5,000.9215,516.6322,123.2571,193.2561,768.7113.1933.6094,224.588105.2261,873.10977.7390.07794.561,349.9940.0090.0050.0040.015
Totaal niet-vlottende activa 47,284.84862,850.30737,484.53818,366.35220,184.99213,631.33912,424.19511,985.22411,528.6779,731.29312,413.75810,710.58210,133.2873,786.7990.030.030.0250.024
Totaal activa 111,246.215113,643.79697,165.46743,448.98440,717.6529,685.64326,262.70924,789.72924,246.11820,732.37624,297.2720,662.69421,512.12113,562.2070.120.1190.0920.102
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,963.8124,166.084,664.3253,836.482,817.5232,412.4521,857.7141,790.5481,720.2741,679.3631,338.085814.907774.869933.3920.0060.0060.0050.026
Kortlopende schulden 15,090.864,741.5812.783,234.6674,171.6972,252.2943,803.9762,283.1222,235.451262.7771,057.616917.5673,009.95800000
Belastingschulden 1,165.694883.6914,960.153250.916301.31110.615198.72620.53123.571000000000
Uitgestelde opbrengsten 526.7849,251.6569,622.4544,702.57-4,171.6973,464.979198.7261,690.065503.913490.22602.524763.08710.55700000
Overige kortlopende verplichtingen 8,885.612745.5071,068.9350.0018,120.260.0022,632.709620.7152,297.2711,803.1091,931.8231,963.3691,679.152952.5080.0070.0060.0040.007
Totaal kortlopende verplichtingen 27,467.06818,904.74316,168.49411,773.71810,937.7838,129.7278,493.1256,384.456,756.9094,235.4694,930.0484,458.9236,174.5361,885.90.0120.0130.010.033
Langlopende verplichtingen:
Langetermijnschulden 1,335.1655,239.2992,269.9318,559.20910,311.2693,863.2812,137.3424,271.9435,414.6735,673.194,485.1683,583.3793,736.7421,510.5260.0110.0090.0070
Uitgestelde opbrengsten niet-vlottend 4.7729.791,673.697102.35815.2544,743.650256.868149.71000000000
Uitgestelde belastingverplichtingen niet-vlottend 688.557763.874315.06129.967270.833139.195424.236385.55228.1171.989297.286241.90299.665177.4450.0020.0020.0010
Overige niet-vlottende verplichtingen 5,326.0471,535.372-1,345.9122,134.9991,864.148-3,701.905385.139122.888113.28179.42564.01923.65818.4750-0-000
Totaal niet-vlottende verplichtingen 7,354.5417,548.3352,912.77710,826.53312,461.5045,044.2212,946.7175,037.2515,705.7815,754.6044,846.4733,848.9393,854.8821,687.9710.0130.010.0090
Totaal passiva 34,821.60926,453.07819,081.27122,600.25123,399.28713,173.94811,439.84211,421.70112,462.699,990.0739,776.5218,307.86210,029.4183,573.8710.0260.0230.0180.033
Eigen vermogen:
Preferente aandelen 00009,913.91825,042.129000000000000
Gewone aandelen 465.203525.203417.951208.773208.659208.389208.002207.427207.29207.196206.164205.892205.892205.8920.0020.0020.0020
Ingehouden winsten 64,276.9769,997.20168,414.05512,121.7999,026.3318,222.2976,748.5464,908.8791,902.5526,666.5264,410.3723,338.4422,989.7017,358.9440.0690.0690.0470.067
Overige gereserveerde algehele resultaten 74,411.96414,789.79911,804.4598,387.207-4,524.157-3,216.487-1,922.211-1,612.686-5,567.1293,806.438-3,815.9653,569.621-2,589.308-2,135.343-0.017-0.014-0.012-0.009
Overige totale aandeelhoudersvermogen -64,276.97320.37-2,552.269130.9542,570.034-13,820.4479,795.7289,868.85715,240.71562.14313,720.0465,240.74810,876.2954,558.8430.0410.0390.0360.011
Totaal eigen vermogen van aandeelhouders 74,877.16785,632.57378,084.19620,848.73317,194.78516,435.88114,830.06513,372.47711,783.42810,742.30314,520.61712,354.70311,482.589,988.3360.0950.0960.0740.069
Totaal eigen vermogen 76,424.60687,190.71879,628.17520,848.73317,318.36316,511.69514,822.86713,368.02811,778.08310,742.30314,520.74912,354.83211,482.7039,988.3360.0950.0960.0740.069
Totaal passiva en aandeelhoudersvermogen 111,246.215113,643.79697,165.46743,448.98440,717.6529,685.64326,262.70924,789.72924,246.11820,732.37624,297.2720,662.69421,512.12113,562.2070.120.1190.0920.102