Jubilant FoodWorks Limited

NSE:JUBLFOOD.NS

692 (INR) • At close June 16, 2025
Overzicht | Financiële gegevens

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

202520242023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,542.291,313.9298.79249.496557.1381,959.396262.867790.252353.89331.607389.03242.202304.87129.37889.75470.39430.0821.7137.0128.6827.57
Kortetermijnbeleggingen 565.491,234.033,521.776,380.3455,648.785,110.5946,467.0363,131.015935.677907.756746.117937.4561,010.122922.670000000
Liquide middelen en kortetermijnbeleggingen 2,107.782,547.933,820.566,629.8416,205.9187,069.996,729.9033,921.2671,289.5671,239.3631,135.1471,179.6581,314.9921,052.04889.75470.39430.0821.7137.0128.6827.57
Nettovorderingen 3,300.662,842.37287.31220.49167.987166.407274.362156.524161.008124.782118.66190.39380.8790412.103038.0936.0420.8414.7917.36
Voorraad 4,056.344,098.921,769.991,611.7621,331.306947.203770.778642.109607.185551.707433.381330.799240.254187.034142.18670.56855.2938.8330.0819.5113.93
Overige vlottende activa 2,111.552,075.33992.080676.498406.895324.842336.651339.698337.391194.033277.457125.82715.41339.524391.766212.35139.9689.5861.855.18
Totaal vlottende activa 11,576.3311,564.556,858.129,223.5838,382.1698,591.18,116.7115,052.7772,389.9442,183.1821,881.2511,878.3361,761.9811,434.398983.567532.728335.81236.54177.51124.78114.04
Niet-vlottende activa:
Materiële vaste activa, netto 47,035.9543,732.7635,340.1827,388.13721,989.47822,266.7467,952.6247,719.2028,535.2688,196.4777,340.2475,506.6533,934.3562,578.2521,839.4891,380.1761,147.88785.87481.39324.28297.83
Goodwill 7,416.387,706.440000000000000000000
Immateriële activa 12,444.0812,146.281,379.64635.818387.979385.758387.835383.044451.261349.337231.321153.426117.80499.7980000000
Goodwill en immateriële activa 19,860.4619,852.721,379.64635.818387.979385.758387.835383.044451.261349.337231.321153.426117.80499.798048.59400000
Langetermijnbeleggingen 1,194.71867.836,977.698,2714,352.843-511.766-1,807.97377.011-921.987-902.256-735.738-936.7890556.6650000000
Belastingvorderingen 0881.55742.93525.77830.736759.8263,908.212179.8052,451.8092,414.6780001.81430.669000000
Overige niet-vlottende activa 5,608.314,357.572,522.711,772.3971,724.5962,215.60.0011,555.5790.001-0.0012,029.9812,018.099703.871.529210.6890.30600000
Totaal niet-vlottende activa 73,699.4369,692.4346,963.1538,593.12229,285.63225,116.16410,440.6999,914.64110,516.35210,058.2358,865.8116,741.3894,756.033,238.0582,080.8471,429.0761,147.88785.87481.39324.28297.83
Totaal activa 85,275.7681,256.9853,821.2747,816.70537,667.80133,707.26418,557.4114,967.41712,906.29612,241.41710,747.0628,619.7256,518.0114,672.4563,064.4141,961.8041,483.691,022.41658.9449.06411.87
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 9,009.019,216.465,611.15,369.555,330.2384,470.2394,208.8363,889.7863,142.2342,959.5962,419.6331,737.4091,325.4121,095.8610547.43323.4110000
Kortlopende schulden 5,465.756,087.742,393.151,991.161,511.9961,458.927236.606266.105235.21517.359143.62146.06122.0100-13.71400000
Belastingschulden 02.62.862.453000006.94500000000000
Uitgestelde opbrengsten 0798.811,408.921,085.6111,056.978770.276887.706533.417640.61561.982-143.62-146.06-122.010038.69300000
Overige kortlopende verplichtingen 6,491.263,064.111,983.711,827.9591,598.0511,138.7171,115.265769.179910.946885.5251,013.765772.207486.339442.1161,150.467111.205107.609344.85215.39149.7129.11
Totaal kortlopende verplichtingen 20,966.0219,169.7210,289.639,191.1228,612.6387,119.495,430.4794,735.2494,156.5284,073.2193,577.0182,655.6761,944.4281,543.6581,150.467701.51431.02344.85215.39149.7129.11
Langlopende verplichtingen:
Langetermijnschulden 38,252.4435,980.8123,144.2419,069.8514,687.98615,247.179000000038.599085.905804.67492.89350.51272275.6
Uitgestelde opbrengsten niet-vlottend 00-741.04-496.094-401.7970000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 02,494.12741.04496.094401.7978.416499.775549.839693.096678.082577.705374.565200.86170.6180000000
Overige niet-vlottende verplichtingen 4,229.361,1809.54.9995555696.746844.14709.423463.7675.06756.560019.780000
Totaal niet-vlottende verplichtingen 42,481.839,654.9323,153.7419,074.84914,692.98615,260.595504.775554.839696.746844.14709.423463.76275.928165.777085.905824.45516.77360.35272275.6
Totaal passiva 63,447.8258,824.6533,443.3728,265.97123,305.62422,380.0855,935.2545,290.0884,853.2744,917.3594,286.4413,119.4362,220.3561,709.4351,150.467787.4151,255.47861.62575.74421.7404.71
Eigen vermogen:
Preferente aandelen 0019,182.150026,277.04217,173.15600000000000000
Gewone aandelen 1,319.691,319.691,319.691,319.691,319.691,319.691,319.69659.845659.491657.951655.698654.39652.834650.779645.322636.217581.65581.65581.63581.63581.63
Ingehouden winsten 020,181.4517,805.7115,321.40211,908.0819,580.710,957.0198,056.5086,169.4615,591.9334,775.4263,840.6582,658.23800-403.023-744.05-811.48-889.05-944.85-965.05
Overige gereserveerde algehele resultaten 19,707.79732.21,195.752,860.413722.114-15,056.785-4,576.779-3,524.658-2,424.982-4,373.125-3,264.858-2,476.844-1,761.53-1,328.65-1,102.799-846.265-651.29-502.39-400.73-358.8-312
Overige totale aandeelhoudersvermogen 0-526.9256.75-51.822318.383356.549345.707916.6871,118.0031,069.411,016.234997.825984.816971.332,371.4241,787.461,041.91893.01791.31749.38702.58
Totaal eigen vermogen van aandeelhouders 21,027.4821,706.4220,377.919,449.68314,268.26811,220.25712,596.3779,677.3298,053.0227,324.0586,460.6215,500.2894,297.6552,963.0211,913.9471,174.389228.22160.7983.1627.367.16
Totaal eigen vermogen 21,827.9422,432.3320,377.919,550.73414,362.17711,327.17912,622.1569,677.3298,053.0227,324.0586,460.6215,500.2894,297.6552,963.0211,913.9471,174.389228.22160.7983.1627.367.16
Totaal passiva en aandeelhoudersvermogen 85,275.7681,256.9853,821.2747,816.70537,667.80133,707.26418,557.4114,967.41712,906.29612,241.41710,747.0628,619.7256,518.0114,672.4563,064.4141,961.8041,483.691,022.41658.9449.06411.87