Kesoram Industries Limited

NSE:KESORAMIND.NS

213.02 (INR) • At close November 5, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 944.5536.91,219.1974.596.5185.7761.81,533.63,518.31,102.4751.9817.8695.9736.444804.488568.627405.421272.422
Kortetermijnbeleggingen 1,596.11,474129.6196.9170.7149.71,795.9237.97,000.57,000.5630.262404,027.1472,874.6224,856.384,290.1792,062.247
Liquide middelen en kortetermijnbeleggingen 2,540.62,010.91,348.71,171.4267.2335.42,557.71,533.610,518.88,102.9751.9817.8695.94,763.5913,679.115,425.0074,695.6012,334.67
Nettovorderingen 4,6814,9566,786.85,449.23,169.28,1718,372.88,762.526,537.423,305.111,238.711,2076,724.46,313.4295,428.8863,801.7062,730.7352,459.453
Voorraad 2,865.92,320.81,804.31,372.11,622.23,611.94,580.14,671.85,556.17,340.68,941.39,127.59,951.611,185.4849,161.9415,890.6134,421.7023,768.828
Overige vlottende activa 1,280.81,257.120.83755.994405.5341.7315.264.4248134.53,499.9318.899301.338223.642214.692118.199
Totaal vlottende activa 11,435.810,544.89,960.68,029.75,114.512,212.315,916.115,309.642,927.538,81321,179.921,286.820,871.822,581.40418,571.27615,340.96712,062.7298,681.149
Niet-vlottende activa:
Materiële vaste activa, netto 17,588.517,963.620,645.121,117.621,977.835,71736,793.626,001.819,481.620,891.639,473.341,482.142,082.641,270.50238,433.66827,26217,188.34511,051.901
Goodwill 000000031.50000000125.59800
Immateriële activa 36.251.71116.912.65.6116.594.957.110529.324.724.82612.871000
Goodwill en immateriële activa 36.251.71116.912.65.614894.957.110529.324.724.82612.871125.59800
Langetermijnbeleggingen 803.5822.2738.3775.5735.2819.15,517.6712.8-6,944.8-6,336.933.439.60-3,368.993-2,360.285-4,364.57-3,811.912-1,773.519
Belastingvorderingen 3,518.64,616.82,724.52,616.201,190.73,4454,988.99,948.70-33.4-39.6000000
Overige niet-vlottende activa 378.6350.9250.3201.5-22,7144.94.9-679.1870.77,860.81,565.61,940.82,2484,027.1472,874.6224,856.384,290.1792,062.247
Totaal niet-vlottende activa 22,325.423,805.224,369.224,727.727,003.437,734.345,766.731,172.423,451.122,472.641,143.943,452.244,355.341,953.48238,960.87627,879.40817,666.61211,340.629
Totaal activa 33,761.234,35034,329.832,757.432,117.949,946.661,682.846,48266,378.661,285.662,323.864,73965,227.164,534.88657,532.15143,220.37529,729.34120,021.779
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 6,228.55,955.45,888.65,987.46,328.68,893.97,377.55,8365,8725,6315,853.94,906.34,8346,001.2893,843.5932,443.6642,220.9511,529.82
Kortlopende schulden 1,589.81,274.81,678.1892.58,109.910,431.613,597.810,412.218,188.418,277.723,583.523,041.713,495.700000
Belastingschulden 2222447.1464.2537.2553.33,344.4000000000
Uitgestelde opbrengsten 1,479.6817.93,153.51,203.22,263.33,200.83,951.33,968.33,845.92,856.62,679.63,244715.600000
Overige kortlopende verplichtingen 1,281.92,329.43.62,205.21,1182,227.51,406.90.50.50.61.20.78,901.91,674.0911,592.5774,640.3464,113.2992,095.522
Totaal kortlopende verplichtingen 10,579.810,377.510,723.810,288.317,819.824,753.826,333.520,21727,906.826,765.932,118.231,192.727,947.27,675.385,436.177,084.016,334.2513,625.341
Langlopende verplichtingen:
Langetermijnschulden 21,112.718,123.717,342.219,467.914,260.621,43427,389.324,379.234,440.933,646.225,497.527,743.927,557.739,992.76433,409.18921,419.19112,148.1398,728
Uitgestelde opbrengsten niet-vlottend -2,615.91.84.13.713.62,272.92,499.8-7,589.90000000000
Uitgestelde belastingverplichtingen niet-vlottend 2,615.92,722.62,948.53,613.8-13.6349.6165.64,988.92,728.5000572.13,864.2343,284.3831,261.4751,427.7421,124.093
Overige niet-vlottende verplichtingen 1,120.5-1,607.5-1,794.9-2,591.11,01013.720.22,601-2,728.5000000000
Totaal niet-vlottende verplichtingen 22,233.219,240.618,499.920,494.315,270.624,070.230,074.924,379.234,440.933,646.225,497.527,743.928,129.843,856.99836,693.57222,680.66613,575.8819,852.093
Totaal passiva 32,81329,618.129,223.730,782.633,090.448,82456,408.444,596.262,347.760,412.157,615.758,936.656,07751,532.37842,129.74129,764.67619,910.13113,477.434
Eigen vermogen:
Preferente aandelen 18,7070005,494.67,588.40075000000000
Gewone aandelen 3,106.63,106.62,444.11,648.11,425.91,425.91,373.41,247.71,247.71,097.71,097.7457.4457.4457.416457.416457.416457.416457.416
Ingehouden winsten -18,707-14,965.9-13,001.2-12,263.8-13,687.7-11,676-6,622.3-6,816.5-4,512.3-5,883.5-2,216.72,938.88,524.600000
Overige gereserveerde algehele resultaten -2,158.43,963.83,322.73,325-4,227.1-4,225.8-2,796.7-17,662.6-16,479.3-16,653.2-22,349.8-19,292.1-16,334.1-13,481.621-10,821.085-9,132.194-8,112.026-7,219.343
Overige totale aandeelhoudersvermogen -012,627.412,340.59,265.510,021.88,010.113,32025,117.223,699.822,312.528,176.921,698.316,502.226,026.71225,766.07822,130.47617,473.81913,306.271
Totaal eigen vermogen van aandeelhouders 948.24,731.95,106.11,974.8-972.51,122.65,274.41,885.84,030.9873.54,708.15,802.49,150.113,002.50815,402.4113,455.6999,819.216,544.345
Totaal eigen vermogen 948.24,731.95,106.11,974.8-972.51,122.65,274.41,885.84,030.9873.54,708.15,802.49,150.113,002.50815,402.4113,455.6999,819.216,544.345
Totaal passiva en aandeelhoudersvermogen 33,761.234,35034,329.832,757.432,117.949,946.661,682.846,48266,378.661,285.662,323.864,73965,227.164,534.88657,532.15143,220.37529,729.34120,021.779