Huhtamaki India Limited

NSE:HUHTAMAKI.NS

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

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,444.8425.3313.4662436.226467.989436.462310.972153.66116.522157.995147.594222.785108.44740.774126.37939.969153.761
Kortetermijnbeleggingen 2,509.716.57.3185609.447235.4561,378.2691,950.1662,066.2621,863.378547.938603.7880197.555212.051203.943246.023134.192
Liquide middelen en kortetermijnbeleggingen 3,954.5441.8320.78471,045.673703.4451,814.7312,261.1382,219.9221,979.9705.933751.382222.785306.002252.825330.322285.992287.953
Nettovorderingen 5,5176,798.16,337.35,395.16,561.1145,7025,2654,846.1414,395.1682,619.22,207.4421,674.1151,295.9271,188.299971.981944.1891,030.982864.015
Voorraad 2,698.92,979.93,4752,287.81,818.5542,122.2711,918.7323,650.0111,560.682982.519934.83886.184843.734892.068759.294621.215678.339466.839
Overige vlottende activa 436.3403.2868.8607.60.16516.8924.195-1,537.699327.559153.053138.381102.264329.037123.166109.89123.48451.71640.153
Totaal vlottende activa 12,606.710,62311,001.89,137.59,425.5068,884.9899,426.7479,219.5918,503.3315,734.6723,986.5863,413.9452,691.4832,509.5352,093.992,019.212,047.0291,658.96
Niet-vlottende activa:
Materiële vaste activa, netto 5,471.14,460.85,076.95,010.14,221.2234,500.9064,284.7854,460.6245,143.1992,451.32,045.6742,053.1341,833.4911,710.2891,940.6622,099.4572,136.2011,957.058
Goodwill 623.8623.8623.8623.8564.003564.00396.8896.882,368.506306.748320.944335.14000000
Immateriële activa 48.553.798.6137.6162.086156.76711.76429.8992,441.92654.20161.37686.16964.13676.5992.8976.0488.8949.958
Goodwill en immateriële activa 672.3677.5722.4761.4726.089720.77108.644126.7792,441.926360.949382.32421.30964.13676.5992.8976.0488.8949.958
Langetermijnbeleggingen -2,378113.6969.6-184.9-609.331-235.315-1,377.603-1,950.163-2,066.259-1,863.375-547.935-603.7850196.92698.308-34.187-107.972-129.031
Belastingvorderingen 181.5284.1116.377.562.37949.102101.90931.3752,466.8662,114.850.331719.268000000
Overige niet-vlottende activa 3,4561,347.6195.51,026.81,315.009589.1091,804.1282,374.7041.5972.836758.32335.156633.767197.555212.051203.943246.023134.192
Totaal niet-vlottende activa 7,402.96,883.67,080.76,690.95,715.3695,624.5724,921.8635,043.3197,987.3293,066.562,638.7132,625.0822,531.3942,181.362,343.9182,275.2612,283.1461,972.177
Totaal activa 20,009.617,506.618,082.515,828.415,140.87514,509.56114,348.6114,262.9116,490.668,801.2326,625.2996,039.0275,222.8774,690.8954,437.9084,294.4714,330.1753,631.137
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,674.84,779.55,737.64,098.44,295.483,616.0933,653.9593,257.9082,867.3511,739.7251,485.4811,282.4581,053.929941.034814.713647.167772.86571.442
Kortlopende schulden 75.81,699.31,537.31,267.51,708.419127.457115.016284.025934.34823.1645.861140.62000000
Belastingschulden 166.1177.8234.8257.4236.807272.591166.025234.41679.69000000000
Uitgestelde opbrengsten 756.350.3747.8716.4902.16272.591960.22233.8921,166.578352.015302.975284.487000000
Overige kortlopende verplichtingen 344.6863.9197.2240.262.109871.20628.241,779.684281.956367.828299.574232.108634.007535.301700.622618.485417.941399.542
Totaal kortlopende verplichtingen 5,851.57,3938,219.96,322.56,968.1684,887.3474,757.4375,355.5095,250.2332,482.7322,093.8911,939.6731,687.9361,476.3351,515.3351,265.6521,190.801970.984
Langlopende verplichtingen:
Langetermijnschulden 2,469.92,398.22,550.11,678.61,017.5963,903.6683,942.3654,082.0664,352.057354.061399.144342.635221.451225.309239.351498.154671.537337.736
Uitgestelde opbrengsten niet-vlottend -139.580.988.289.277.939112.283110.756-56.7364.856000000000
Uitgestelde belastingverplichtingen niet-vlottend 139.5139.5-23.8-0.225.725-69.579-61.8656.7342.36654.88510.26.77725.21252.63967.75968.96585.14983.916
Overige niet-vlottende verplichtingen 183.6-74.688.289.277.939111.063109.25286.91355.99614.43312.73815.179000000
Totaal niet-vlottende verplichtingen 2,653.52,5442,702.71,856.81,199.1994,057.4354,100.5134,168.9764,815.275423.379422.082364.591246.663277.948307.11567.119756.686421.652
Totaal passiva 8,5059,93710,922.68,179.38,167.3678,944.7828,857.959,524.48510,065.5082,906.1112,515.9732,304.2641,934.5991,754.2831,822.4451,832.7711,947.4871,392.636
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 151.1151.1151.1151.1151.053151.053151.053145.433145.433145.433125.383125.383125.383125.383125.383125.383125.383125.383
Ingehouden winsten 11,306.25,8055,403.55,950.35,217.0023,789.7453,906.5333,741.2242,695.2522,412.6752,888.4711,754.6351,538.33800000
Overige gereserveerde algehele resultaten 47.359.150.91,547.71,605.41,623.9811,433.0741,205.4172,261.031103.586100.5860000000
Overige totale aandeelhoudersvermogen 01,554.41,554.400.05300-353.6491,085.1563,013.116793.6231,669.5841,624.5572,811.2292,490.082,336.3172,257.3052,113.118
Totaal eigen vermogen van aandeelhouders 11,504.67,569.67,159.97,649.16,973.5085,564.7795,490.664,738.4256,186.8725,674.813,908.0633,549.6023,288.2782,936.6122,615.4632,461.72,382.6882,238.501
Totaal eigen vermogen 11,504.67,569.67,159.97,649.16,973.5085,564.7795,490.665,013.6256,425.1525,895.1214,109.3263,734.7633,288.2782,936.6122,615.4632,461.72,382.6882,238.501
Totaal passiva en aandeelhoudersvermogen 20,009.617,506.618,082.515,828.415,140.87514,509.56114,348.6114,262.9116,490.668,801.2326,625.2996,039.0275,222.8774,690.8954,437.9084,294.4714,330.1753,631.137