HMT Limited

NSE:HMT.NS

80.89 (INR) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 325955.4166.9571,906.1212,085.12,377.852,295.092,456.1093,649.3351,262.4391,346.441552.305770.617764.586883.8311,178.2682,033.0687,051.944
Kortetermijnbeleggingen 2,190.61,584.41,189.90970.9829.5962,184.16255.023145.81370.06577.4277.76792.72000000
Liquide middelen en kortetermijnbeleggingen 2,515.62,539.81,356.8661,906.1212,085.12,377.852,295.092,601.9223,649.3351,262.4391,346.441552.305770.617764.586883.8311,178.2682,033.0687,051.944
Nettovorderingen 1,413.82,015.41,701.6121,756.1692,464.2232,189.7651,101.805963.4421,774.031,832.0031,641.3951,931.1832,128.8322,129.6552,250.5062,340.9292,907.3913,287.589
Voorraad 1,160.21,1781,430.6161,721.0681,889.6851,684.6631,301.3651,437.2151,759.2431,815.7831,953.7011,874.4541,872.1791,492.9821,676.2022,121.3512,165.2742,128.627
Overige vlottende activa 397.34605945962,535.5762,320.426614.722722.381134.353168.165150.047147.44894.26731.37533.64435.11933.02135.043
Totaal vlottende activa 5,486.96,193.25,083.0945,979.3586,510.3616,382.9395,312.9825,724.967,316.9615,078.395,091.5844,505.394,865.8954,418.5984,844.1835,675.6677,138.75412,503.203
Niet-vlottende activa:
Materiële vaste activa, netto 419.5462.1482.376517.34575.1615.39638.031736.858941.2591,065.4691,245.0531,373.4531,373.9181,464.6051,445.4541,300.952923.595922.395
Goodwill 000000000-23.2300000000
Immateriële activa 0098.429112.49126.55194.12196.5974.77256.43728.098.68310.7262.60852.836110.54973.738113.62133.932
Goodwill en immateriële activa 0-12.75698.429112.49126.55194.12196.5974.77256.4374.868.68310.7262.60852.836110.54973.738113.62133.932
Langetermijnbeleggingen -2,145.9-1,364.3-581.996.270.08132.20246.558-134.33916.885.7237.22323.208023.20823.20824.80724.80724.809
Belastingvorderingen 012.7561,292.159153.211-70.081-32.202-46.558251.036-16.88-5.723-7.223-23.2080-11.354-11.089-10.9038.97116.408
Overige niet-vlottende activa 2,275.51,670.437.3-29.61663.53887.837143.3250.5750.52841.33340.2133.72466.13134,574.99329,647.96626,352.95922,922.8219,983.524
Totaal niet-vlottende activa 549.1768.21,328.364849.625765.189797.348877.946928.8971,048.2241,111.6621,293.9461,417.9031,442.65736,104.28831,216.08827,741.55323,993.81420,981.068
Totaal activa 6,0366,961.46,411.4586,828.9837,275.557,180.2876,190.9286,653.8578,365.1856,190.0526,385.535,923.2936,308.55240,522.88636,060.27133,417.2231,132.56833,484.271
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 953.4819.6875.0191,026.4711,138.0781,001.3021,343.368852.475638.258665.17763.382811.808000000
Kortlopende schulden 10,293.837,269.437,164.1839,997.7138,663.7457,262.6785,735.7143,980.9432,058.125493.632969.9441,103.281000000
Belastingschulden 7.789.50013.165.4190.0210.493190.318000000000
Uitgestelde opbrengsten 5,987.55,457.85,950.24338,713.71138,437.58638,280.25239,367.21838,290.6052,156.8022,251.1182,002.3241,213.344000000
Overige kortlopende verplichtingen 5,970.96,046.13,855.0573,536.093,081.0794,772.4263,798.4945,297.37540,908.67620,399.78317,001.40617,897.84318,349.7898,369.6237,487.3787,241.0327,110.2657,683.037
Totaal kortlopende verplichtingen 23,205.649,592.947,844.50253,273.98551,320.48851,316.65850,244.79448,421.39845,761.86123,809.70320,737.05621,026.27618,349.7898,369.6237,487.3787,241.0327,110.2657,683.037
Langlopende verplichtingen:
Langetermijnschulden 00351.945179.1531,222.3922,314.4893,732.4264,353.2913,589.51813,115.95210,864.59414,390.30312,476.63419,892.6816,312.3113,915.60511,761.7213,694.484
Uitgestelde opbrengsten niet-vlottend 001.11384.401256.568511.031000000000000
Uitgestelde belastingverplichtingen niet-vlottend 04.31.8334.6274.384.9077.7668.56711.8712.13111.91511.70211.54700000
Overige niet-vlottende verplichtingen 350.7395.613.647426.909511.51545.7591,612.862826.621,309.7382,094.9581,987.5891,666.751,838.22900000
Totaal niet-vlottende verplichtingen 350.7399.9368.538695.091,994.853,376.1865,353.0545,188.4784,911.12615,223.04112,864.09816,068.75514,326.4119,892.6816,312.3113,915.60511,761.7213,694.484
Totaal passiva 23,556.349,992.848,213.0453,969.07553,315.33854,692.84455,597.84853,609.87650,672.98739,032.74433,601.15437,095.03132,676.19928,262.30323,799.68821,156.63718,871.98521,377.521
Eigen vermogen:
Preferente aandelen 0000000006,6006,6004,430000000
Gewone aandelen 3,5563,5563,556.0163,556.0163,556.0163,556.01612,040.91612,040.91612,409.51618,640.91614,203.5017,603.50112,033.50112,033.50112,033.50112,033.50112,033.50112,033.501
Ingehouden winsten 0-47,769.635-46,540.606-51,862.6-50,765.097-52,323.541-62,813.817-60,273.328-56,606.519-53,370.776-47,738.719-43,432.321000000
Overige gereserveerde algehele resultaten 01,182.2621,183.0081,169.141-4,061.074-3,990.102-3,942.249-4,051.265-6,238.89-6,136.352-5,968.265-5,858.065-5,730.259-5,585.612-5,455.276-5,325.749-5,216.94-5,147.274
Overige totale aandeelhoudersvermogen -21,076.3-0.027005,233.0115,247.95,316.1145,335.4618,126.0691,421.5315,687.8596,085.147-32,670.8895,812.6945,682.3585,552.8315,444.0225,147.274
Totaal eigen vermogen van aandeelhouders -17,520.3-43,031.4-41,801.582-47,137.443-46,037.144-47,509.727-49,399.036-46,948.216-42,309.824-32,844.681-27,215.624-31,171.738-26,367.64712,260.58312,260.58312,260.58312,260.58312,033.501
Totaal eigen vermogen -17,520.3-43,031.4-41,801.582-47,140.092-46,039.788-47,512.557-49,406.92-46,956.019-42,307.802-32,842.692-27,215.624-31,171.738-26,367.64712,260.58312,260.58312,260.58312,260.58312,106.75
Totaal passiva en aandeelhoudersvermogen 6,0366,961.46,411.4586,828.9837,275.557,180.2876,190.9286,653.8578,365.1856,190.0526,385.535,923.2936,308.55240,522.88636,060.27133,417.2231,132.56833,484.271