Kirloskar Electric Company Limited

NSE:KECL.NS

186.25 (INR) • At close October 17, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 292.4129.5368.8475.97361.196.154119.378225.161262.052201.084728.874417.116285.875730.278627.115678.688648.511449.392
Kortetermijnbeleggingen 124.9117.331.40122.80912.61210.82814.4695.9510.4150-177.312-183.972-144.9600000
Liquide middelen en kortetermijnbeleggingen 292.4246.8400.24198.78273.712106.982133.847225.161262.052201.084728.874417.116285.875730.278627.115678.688648.511449.392
Nettovorderingen 862543.014383.896478.501546.636425.707684.521,928.7041,805.5631,758.8792,192.8532,629.6662,521.3100000
Voorraad 482.3521.4471.109402.875489.956468.12547.314760.943975.683934.0142,337.8332,265.4342,304.1611,650.5391,558.3351,705.002942.867534.551
Overige vlottende activa 123.7121.110279203.516573.2491,033.02234.137185.781179.001333.423236.896247.3262,978.1323,001.3523,339.6972,478.7261,701.451
Totaal vlottende activa 1,760.41,432.31,432.1211,143.3381,313.821,148.3511,714.1813,148.9453,229.0793,072.9785,592.9835,549.1125,358.6725,358.9495,186.8025,723.3874,070.1042,685.394
Niet-vlottende activa:
Materiële vaste activa, netto 4,3844,398.14,421.7864,794.5193,171.4323,216.4163,983.83,896.076846.432906.1221,536.5551,642.6451,805.3722,028.3382,102.7642,044.8321,620.4541,398.497
Goodwill 00000000001,715.1341,466.221,455.5841,353.0641,287.8641,443.052066.766
Immateriële activa 3.91.51.9382.39131.74742.32253.3264.65278.41192.221144.48570.66875.63300000
Goodwill en immateriële activa 3.91.51.9382.39131.74742.32253.3264.65278.41192.2211,859.6191,536.8881,531.2171,353.0641,287.8641,443.052066.766
Langetermijnbeleggingen 75.640.2933.53731.9430.62823.4030.40774.8332.9358.109196.093205.546165.90600000
Belastingvorderingen 036.31191.05459.78884.568304.301349.227153.07170.1-8.109217.496172.883163.938148.0960000
Overige niet-vlottende activa 177.521663.507233.9230.03134.68936.102168.14947.309243.73915.19113.1301.62119.66518.90783.11211.578545.993
Totaal niet-vlottende activa 4,6414,692.24,711.8225,122.5383,548.4063,621.1314,422.8564,356.7771,175.1871,242.0823,824.9543,571.0623,968.0543,549.1633,409.5353,570.9961,632.0322,011.256
Totaal activa 6,401.46,124.56,143.9436,265.8764,862.2264,769.4826,137.0377,505.7224,404.2664,315.069,417.9379,120.1749,326.7268,908.1128,596.3379,294.3835,702.1364,696.65
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,867.71,640.51,541.2221,390.7951,254.0041,206.5821,497.0662,040.9481,836.7171,905.4573,099.6552,795.072000000
Kortlopende schulden 1,264.81,334.61,421.4361,560.0891,434.3961,941.5742,601.3871,481.681,442.2091,568.1142,102.7422,201.565000000
Belastingschulden 00.0350.0310.0440.0420.0560.024250.268295.043000000000
Uitgestelde opbrengsten 0387.9804.7871,092.377969.186853.14545.84250.268295.043343.403141.027214.481000000
Overige kortlopende verplichtingen 1,325.7962.7885.031863.564753.848569.901533.7191,523.386987.877785.6251,710.7721,510.9966,277.7894,023.063,706.2034,150.0652,992.862,128.259
Totaal kortlopende verplichtingen 4,458.24,325.74,652.4764,906.8254,411.4344,571.1975,178.0125,296.2824,561.8464,602.5997,054.1966,722.1146,277.7894,023.063,706.2034,150.0652,992.862,128.259
Langlopende verplichtingen:
Langetermijnschulden 000233.504448.349722.483496.308659.3291,448.445907.845904.414356.798523.6382,622.3232,851.1393,332.5211,313.0981,235.519
Uitgestelde opbrengsten niet-vlottend 000549.265823.51,008.6630-445.254-170.1000000000
Uitgestelde belastingverplichtingen niet-vlottend 775.5544.9398.107474.388100.932105.244297.34445.254170.1000000000
Overige niet-vlottende verplichtingen 344.3335.2333.191-233.504-448.349-722.483311.476348.657315.912331.796268.536198.054173.7622.55946.9797.154046.968
Totaal niet-vlottende verplichtingen 1,119.8880.1731.2981,023.653924.4321,113.9071,105.1241,007.9861,764.3571,239.6411,172.95554.852697.3982,644.8822,898.1183,339.6751,313.0981,282.487
Totaal passiva 5,5785,205.85,383.7745,930.4785,335.8665,685.1046,283.1366,304.2686,326.2035,842.248,227.1467,276.9666,975.1876,667.9426,604.3217,489.744,305.9583,410.746
Eigen vermogen:
Preferente aandelen 00001,911.825944.1020081.84159.58900000000
Gewone aandelen 664.1664.1664.141664.141664.141664.141664.141664.141639.178691.385505.214505.214505.214582.573659.932742.888452.688492.688
Ingehouden winsten 0-3,961.263-4,272.006-4,945.897-4,464.847-4,918.013-4,638.562-3,396.687-3,009.548-2,614.691-281.206661.222000000
Overige gereserveerde algehele resultaten 159.33,774.383,926.554,175.67-1,911.825-1,860.129-1,803.695-1,711.989-1,663.679-1,603.185-2,280.273-2,051.258-1,791.633-1,727.041-1,492.274-1,294.486-846.668-683.186
Overige totale aandeelhoudersvermogen 0441.083441.084441.0843,326.6664,253.8775,631.6175,645.5892,029.8721,839.4223,277.3522,732.6693,619.5263,362.0792,813.562,349.0871,790.1581,358.727
Totaal eigen vermogen van aandeelhouders 823.4918.3759.769334.998-474.04-916.022-146.4991,201.054-1,922.337-1,527.481,221.0871,847.8472,333.1072,217.6111,981.2181,797.4891,396.1781,168.229
Totaal eigen vermogen 823.4918.7760.169335.398-473.64-915.622-146.0991,201.454-1,921.937-1,527.181,190.7911,843.2082,351.5392,240.171,992.0161,804.6431,396.1781,285.904
Totaal passiva en aandeelhoudersvermogen 6,401.46,124.56,143.9436,265.8764,862.2264,769.4826,137.0377,505.7224,404.2664,315.069,417.9379,120.1749,326.7268,908.1128,596.3379,294.3835,702.1364,696.65