KEI Industries Limited

NSE:KEI.NS

4394.8 (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 7,003.714,798.963,582.792,194.541,187.98220.73602.83377.1259.5327.3919.949133.88143.688123.32550.77230.211323.6441,374.81
Kortetermijnbeleggingen 608.02727.567.0910.21948.441,732.27168.433.183.080-0.0030000000
Liquide middelen en kortetermijnbeleggingen 7,003.715,526.523,589.882,204.752,136.421,953771.26377.1259.5327.3919.949133.88143.688123.32550.77230.211323.6441,374.81
Nettovorderingen 15,261.5913,958.6714,257.2914,568.7615,462.7612,740.5211,021.648,291.736,245.665,729.025,153.8834,851.7645,349.2193,161.7363,119.0152,973.8063,058.8330
Voorraad 13,427.4611,022.9110,794.087,682.218,637.836,932.085,555.884,989.244,225.484,403.174,031.3953,581.5512,922.4342,822.6492,026.8251,574.6892,411.251,760.653
Overige vlottende activa 1,281.691,105.22969.40.0916,083.713,364.6211,380.19296.56521.3153.1221.8716.091383.87528.65514.44119.9134.3292,134.441
Totaal vlottende activa 36,974.4531,613.3229,610.6524,455.8126,857.9522,249.717,707.3313,954.6511,051.9710,312.79,227.0988,573.2878,699.2166,136.3655,211.0514,798.6195,798.0555,269.904
Niet-vlottende activa:
Materiële vaste activa, netto 8,896.965,801.945,453.455,424.625,619.15,172.834,269.314,056.913,558.073,015.083,135.4033,108.5563,175.7883,119.9782,778.6242,794.0982,313.9111,409.649
Goodwill 000000000000000000
Immateriële activa 15.3716.8720.7317.8729.2129.7830.3127.2617.179.647.7566.1247.33200000
Goodwill en immateriële activa 15.3716.8720.7317.8729.2129.7830.3127.2617.179.647.7566.1247.33200000
Langetermijnbeleggingen 131.0712.720.1612.847.5417.35-136.9870.535.7731.3630.9230.817000000
Belastingvorderingen 188.06109.61127.39199.52142.14154.77128.01116.1841.03-31.36-30.92-30.8170243.33237.329189.66818.67820.823
Overige niet-vlottende activa 358.59147.0838.2429.0632.8112.22201.02-139.03176.5379.9564.90583.55167.130.8171.0391.0393.173.648
Totaal niet-vlottende activa 9,590.056,088.25,659.975,683.915,830.85,386.954,491.674,131.823,828.573,104.673,208.0643,198.2313,250.223,394.1253,016.9932,984.8062,335.7591,434.12
Totaal activa 46,564.537,701.5235,270.6230,139.7232,688.7527,636.6522,19918,117.5914,880.5413,417.3712,435.16211,771.51811,949.4369,530.498,228.0447,783.4258,133.8156,704.024
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 10,079.347,481.567,626.167,415.0211,689.6810,206.366,284.664,813.484,337.684,809.923,872.3833,947.807000000
Kortlopende schulden 1,403.881,399.123,347.132,774.223,163.714,801.036,964.575,489.722,489.953,316.073,940.923,701.708000000
Belastingschulden 3.7854.57146.5780.619.1394.134.4314.13331.99000000000
Uitgestelde opbrengsten 3.781,926.442,023.88335.32-3,163.713,115.06967.02945.83101.01-676.86-624.89-795.657000000
Overige kortlopende verplichtingen 2,826.35368.38329.4897.234,835.7514.6614.7714.741,998.231,453.461,166.5461,200.4968,353.4463,252.6392,366.181,950.0272,511.2781,994.331
Totaal kortlopende verplichtingen 14,313.3511,175.513,326.5711,421.7916,525.4318,137.1114,231.0211,263.778,926.878,902.598,354.9598,054.3548,353.4463,252.6392,366.181,950.0272,511.2781,994.331
Langlopende verplichtingen:
Langetermijnschulden 258.41219.15206.72551.73673.221,193.371,456.621,641.291,881.491,208.951,165.5631,034.4371,285.7023,618.6513,370.9163,679.1873,419.5013,095.565
Uitgestelde opbrengsten niet-vlottend 0087.52-146.96628.111,257.520040.02000000000
Uitgestelde belastingverplichtingen niet-vlottend 273.19266.42294.42294.5308.33440.55397.2427.2362.44235.36160.347105.63823.352280.012237.329189.668132.29295.503
Overige niet-vlottende verplichtingen 236.91148.790.2238.19-517.41-1,171.2667.2150.620.0131.9723.46221.39216.069027.453-1.20900
Totaal niet-vlottende verplichtingen 768.51634.36588.86937.461,092.251,720.181,921.032,119.112,283.961,476.281,349.3721,161.4671,325.1233,898.6633,635.6993,867.6463,551.7933,191.067
Totaal passiva 15,081.8611,809.8613,915.4312,359.2517,617.6819,857.2916,152.0513,382.8811,210.8310,378.879,704.3319,215.8219,678.5697,151.3026,001.8785,817.6736,063.0715,185.398
Eigen vermogen:
Preferente aandelen 000016,451.558,713.73000000000000
Gewone aandelen 180.48180.38180.21179.71179.01157.85156.72155.59154.47154.47147.475140.475133.875133.875127.875121.875121.617117.939
Ingehouden winsten 24,956.9319,487.2414,986.5911,486.548,954.566,679.284,965.163,690.62,707.582,128.561,823.2341,725.299000000
Overige gereserveerde algehele resultaten 31,302.1697.33101.07140.49-1,358.34-912.17-588.43-1,959.35-1,691.61-1,449.58-1,198.74-1,020.665-828.853-662.052-507.642-367.353-270.312-191.329
Overige totale aandeelhoudersvermogen -24,956.936,126.896,087.465,973.81-9,154.66-6,858.221,513.492,847.872,499.272,205.051,958.8621,710.5882,965.8452,907.3652,605.9332,211.232,219.4391,592.015
Totaal eigen vermogen van aandeelhouders 31,482.6425,891.8421,355.3317,780.5515,072.127,780.476,046.944,734.713,669.713,038.52,730.8312,555.6972,270.8672,379.1882,226.1651,965.7522,070.7441,518.626
Totaal eigen vermogen 31,482.6425,891.6621,355.1917,780.4715,071.077,779.366,046.954,734.713,669.713,038.52,730.8312,555.6972,270.8672,379.1882,226.1651,965.7522,070.7441,518.626
Totaal passiva en aandeelhoudersvermogen 46,564.537,701.5235,270.6230,139.7232,688.7527,636.6522,19918,117.5914,880.5413,417.3712,435.16211,771.51811,949.4369,530.498,228.0447,783.4258,133.8156,704.024