JBM Auto Limited

NSE:JBMA.NS

1969.55 (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 669.1290.3313.63149.706219.296106.14519.24428.51274.954112.82173.92656.19675.251106.366142.1226.1027.7824.627
Kortetermijnbeleggingen 434.7515.868.95353.51724.59327.88711.173-518.801853.049-106.93-276.97-166.175-81.73100000
Liquide middelen en kortetermijnbeleggingen 669.1806.1382.583203.223243.889134.03230.41728.51274.954112.82173.92656.19675.251106.366142.1226.1027.7824.627
Nettovorderingen 6,7048,269.15910,409.8575,995.6825,672.5235,952.5874,603.8814,573.4473,865.2272,302.6792,407.5242,037.5681,886.42300000
Voorraad 7,436.74,2394,134.833,620.2862,955.4692,311.0672,351.8192,557.1292,880.4151,783.5151,584.4531,311.0881,292.5531,092.235916.085452.975565.186228.875
Overige vlottende activa 11,462.15,968.66.1015.7730.64117.92313.415294.18428.557982.898547.618482.17649.4142,074.6821,661.2381,002.427635.183541.464
Totaal vlottende activa 26,271.915,70516,960.84911,218.7619,616.5098,415.6096,999.5327,453.2687,249.1535,181.9134,613.5213,887.0223,903.6413,273.2832,719.4451,461.5041,208.151774.966
Niet-vlottende activa:
Materiële vaste activa, netto 16,005.915,894.512,210.36310,902.8018,127.0615,491.1155,289.0336,723.9466,689.8876,552.7385,413.9994,488.4783,748.3823,476.8192,522.2531,159.46880.785690.31
Goodwill 00000008.7248.7248.7248.7248.7248.7247.6930000
Immateriële activa 2,593.32,191.91,711.51,406.3311,384.0821,079.756922.383841.275693.049525.41166.0419.90717.35500000
Goodwill en immateriële activa 2,593.32,191.91,711.51,406.3311,384.0821,079.756922.383849.999693.049490.36474.76518.63126.0797.6930000
Langetermijnbeleggingen 3,541.5744.162486.755542.897538.144480.568919.824680.75-693.049266.93406.97296.175211.73100000
Belastingvorderingen 567.238610.338902.926553.133424.016862.279210.8613.1443.0992.9980.4290.35817.79918.5250000
Overige niet-vlottende activa -331.838232.315.60715.6060.0016.256.245-8.7261,246.41251.7644.87198.526159.9585231.025182.5552.0430
Totaal niet-vlottende activa 22,376.119,673.215,327.15113,420.76810,473.3047,919.9687,348.3468,249.1137,939.3987,364.795,941.0344,902.1684,163.9493,555.0372,553.2781,342.009932.828690.31
Totaal activa 48,64835,378.232,28824,639.52920,089.81416,335.57714,347.87915,711.10515,188.55112,546.70310,554.5558,789.198,067.596,828.325,272.7232,803.5142,140.9791,465.277
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 11,028.74,364.15,614.2625,840.0794,006.2553,219.9352,568.8863,635.5053,878.0222,214.4462,242.8481,609.729000000
Kortlopende schulden 14,319.510,486.48,945.3796,168.9394,306.3624,451.3893,513.0523,706.1453,045.7662,553.5451,830.7111,782.042000000
Belastingschulden 23.9147.2149.0232.99517.17923.89438.3743.55724.532000000000
Uitgestelde opbrengsten 23.91,017.12,643.0661,676.4331,653.999443.445608.476748.124143.502162.04175.41363.108000000
Overige kortlopende verplichtingen 2,829.41,499.128.58532.47128.88120.35517.022215.4091,487.0611,212.8512,047.8061,457.2544,174.9343,986.2363,139.331,427.7511,153.762604.969
Totaal kortlopende verplichtingen 28,201.517,366.717,231.29213,717.9229,995.4978,135.1246,707.4368,305.1838,554.3516,142.8836,196.7784,912.1334,174.9343,986.2363,139.331,427.7511,153.762604.969
Langlopende verplichtingen:
Langetermijnschulden 6,742.76,545.94,937.8042,281.8841,967.171,793.0922,252.9391,516.2761,489.1771,860.324805.1511,489.641,740.3233,195.8812,373.6051,379.678999.079669.383
Uitgestelde opbrengsten niet-vlottend 206.218.55626.56329.13137.322120.08650.29934.38818.9187.0716.4155.733000000
Uitgestelde belastingverplichtingen niet-vlottend 1,125.9917.6954.8471,015.797879.125456.035357.339662.073525.056417.762273.318197.826153.667133.285109.607131.453104.58280.892
Overige niet-vlottende verplichtingen 450.9221.144169.62138.643175.52737.86572.651172.528318.011350.559287.7591.72159.986308.569225.774000
Totaal niet-vlottende verplichtingen 8,525.77,703.26,088.8343,465.4553,059.1442,407.0782,733.2282,385.2652,351.1622,635.7161,372.6431,694.9192,053.9763,637.7352,708.9861,511.131,103.661750.275
Totaal passiva 36,727.225,069.923,320.12617,183.37713,054.64110,542.2029,440.66410,690.44810,905.5138,778.5997,569.4216,607.0526,228.915,630.8534,278.6512,225.0061,680.5421,052.759
Eigen vermogen:
Preferente aandelen 00002,721.887,678.0680010010010050000000
Gewone aandelen 236.5236.5236.494236.494236.494203.977203.977303.977303.977303.977201.988151.988151.988151.988151.988101.988101.98867.992
Ingehouden winsten 10,496.5159,090.647,817.2816,393.6295,988.2974,402.4533,602.752,995.4132,328.6621,940.8261,379.2771,019.924000000
Overige gereserveerde algehele resultaten 11,440.2507.465442.5363.031-2,423.049-1,351.431-892.312-4,304.057-3,806.074-3,308.31-2,933.706-2,545.48-2,238.731-1,991.956-1,801.356-319.83-262.364-215.604
Overige totale aandeelhoudersvermogen -10,496.515462.995465.865462.998511.551-5,959.8041,259.1455,200.2414,610.1554,069.7943,725.0093,060.9943,534.1382,728.8652,417.666796.349620.812560.13
Totaal eigen vermogen van aandeelhouders 11,676.710,297.68,962.147,456.1527,035.1734,973.2634,173.564,195.5743,536.723,106.2872,472.5681,737.4261,447.395888.898768.298578.508460.437412.518
Totaal eigen vermogen 11,920.810,308.38,967.8747,456.1527,035.1735,793.3754,907.2155,020.6574,283.0383,768.1042,985.1342,182.1381,838.681,197.467994.072578.508460.437412.518
Totaal passiva en aandeelhoudersvermogen 48,64835,378.232,28824,639.52920,089.81416,335.57714,347.87915,711.10515,188.55112,546.70310,554.5558,789.198,067.596,828.325,272.7232,803.5142,140.9791,465.277