Kiri Industries Limited

NSE:KIRIINDUS.NS

427.8 (INR) • At close November 8, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 939.671274.781132.38973.956123.58190.021124.983132.461200.86244.159100.90863.0262,436.2842,529.3063,035.590000
Kortetermijnbeleggingen 786.316730.12840.65618.28321.28819.95535.83333.654-50.436-13.226-6.443-11.47104,066.5973,366.028507.283229.69667.32831.308
Liquide middelen en kortetermijnbeleggingen 939.6711,004.909173.04592.239144.868209.976160.816132.461200.86244.159100.90863.0262,436.2846,595.9036,401.618507.283229.69667.32831.308
Nettovorderingen 2,286.0042,119.4442,966.8653,643.1113,546.8272,757.0632,772.4452,182.8733,002.3725,727.4064,071.4033,474.48005,315.9320000
Voorraad 2,024.3711,947.8262,451.0311,690.4341,426.9661,685.5121,190.749825.001857.7591,015.4431,395.8061,817.17515,392.03415,207.4418,000.0980000
Overige vlottende activa 336.906257.456202.575-0.001-0.0013,014.8120.00317.17413.14412.64912.87211.0712,677.4948,101.442.011,461.0361,138.099649.328497.935
Totaal vlottende activa 5,586.9525,329.6355,793.5165,425.7835,118.664,910.34,124.0133,157.5094,074.1376,799.6575,580.9895,365.75130,505.81229,904.78419,719.6581,968.3191,367.795716.656529.244
Niet-vlottende activa:
Materiële vaste activa, netto 5,423.0155,805.6326,805.6546,866.9616,500.7425,790.8264,397.2334,028.0463,383.8294,560.1954,353.3834,335.2198,875.6617,605.6166,804.4431,393.565548.334369.559184.068
Goodwill 1.260.453000000.0100000000000
Immateriële activa 0.26114.26328.29442.10956.06770.49684.60995.7760.8820.4350.8350551.5050422.6450000
Goodwill en immateriële activa 1.52114.71628.29442.10956.06770.49684.60995.7860.8820.4350.8350551.5054,066.597422.6450000
Langetermijnbeleggingen 22,309.82619,921.75517,805.87214,447.78312,140.3779,522.3499,441.5587,165.6825,719.9643,956.8271,967.8491,150.203178.21-3,911.501-3,235.913-341.241-188.6960-29.112
Belastingvorderingen 184.534150.034133.02471.845221.819-644.666231.589-7,165.682-5,719.964-3,956.827-1,968.6840435.24671.742594.1480000
Overige niet-vlottende activa 602.911789.069175.93145.8460.001934.1690.0017,486.7875,817.8314,196.4642,189.892307.2771,184.0582.1643,366.647507.465229.91.35232.057
Totaal niet-vlottende activa 28,521.80726,681.20624,948.77421,574.54418,919.00615,673.17414,154.9911,610.6199,202.5428,757.0946,543.2755,792.69911,224.6748,434.6187,951.971,559.789589.538370.911187.013
Totaal activa 34,108.75932,010.84130,742.2927,000.32724,037.66620,583.47418,279.00314,768.12813,276.67915,556.75112,124.26411,158.4541,730.48638,339.40227,671.6283,528.1081,957.3331,087.567716.257
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,988.23,943.7353,248.3882,562.8282,182.6211,975.51,680.7321,874.5471,838.3941,538.0111,119.2061,144.47311,208.18710,017.9423,990.342600.1378.426132.90793.577
Kortlopende schulden 976.78340.276691.539533.502542.388153.836330.636128.856146.012523.8431,652.4581,662.10313,272.709000000
Belastingschulden 00.82810.6942.01199.732300.51271.90441.5240.741000188.153000000
Uitgestelde opbrengsten 298.302290.516710.047914.333798.297911.122193.913200.77717.74256.14320.41219.927188.153000000
Overige kortlopende verplichtingen 409.562438.62314.71220.2316.068144.63681.733149.4861,807.6691,315.1062,302.5371,627.7243,204.3675,231.972,192.38860.94257.328.9585.108
Totaal kortlopende verplichtingen 5,672.8474,713.154,664.6864,030.8933,539.3743,185.0942,287.0142,353.6663,809.8173,433.1035,094.6134,454.22727,873.41615,249.9126,182.73661.042435.746141.86598.685
Langlopende verplichtingen:
Langetermijnschulden 237.117411.537267.079886.531894.61,422.5541,367.331,617.6132,688.537,346.1484,955.5984,558.0413,114.49713,115.56611,347.7071,599.026865.833596.706359.345
Uitgestelde opbrengsten niet-vlottend 011.37313.16512.1659.557.65192.63373.0510-305.999-276.831-270.4351,156.864000000
Uitgestelde belastingverplichtingen niet-vlottend 0493.673338.0331,177.8248.46259.904384.995322.097283.817303.12276.831270.435303.419217.498158.2438.47316.0268.66.8
Overige niet-vlottende verplichtingen 81.56-411.537-267.079-951.534211.364234.9780.0016.649.394305.999276.831270.43596.635000000
Totaal niet-vlottende verplichtingen 318.677505.046351.1981,124.9821,163.9761,725.0861,944.9592,019.3613,021.7417,649.2685,232.4294,828.4764,671.41513,333.06411,505.9471,637.499881.859605.306366.145
Totaal passiva 5,991.5245,218.1965,015.8845,155.8754,703.354,910.184,231.9734,373.0276,831.55811,082.37110,327.0429,282.70332,544.83128,582.97617,688.6772,298.5411,317.605747.17464.83
Eigen vermogen:
Preferente aandelen 000020,899.90900.001043.33543.335000000000
Gewone aandelen 518.342518.342518.342336.206336.206313.44302.44321.775308.835270.586190.001190.001190.001190.001150.001150.001112.510095.25
Ingehouden winsten 22,299.50520,974.7319,903.10616,024.89413,524.0969,855.9948,223.1034,755.2792,094.977267.129-1,478.39-1,526.4624,704.7119,565.9149,764.2191,079.566527.208240.396156.176
Overige gereserveerde algehele resultaten 27,598.876446.831451.998667.366-1,403.833-975.514-615.402-2,143.707-1,852.177-1,728.687-1,443.104-1,077.376-2,372.558-16,060.686-11,091.347-95.427-62.346-38.667-26.004
Overige totale aandeelhoudersvermogen -22,299.5054,852.964,852.964,815.986-14,022.0626,479.3746,136.8887,461.7545,850.1515,622.0174,528.7154,289.5846,663.50116,061.19711,091.34795.42762.36638.66726.004
Totaal eigen vermogen van aandeelhouders 28,117.21826,792.86325,726.40621,844.45219,334.31615,673.29414,047.0310,395.1016,445.1214,474.381,797.2221,875.7479,185.6559,756.4269,914.221,229.567639.728340.396251.426
Totaal eigen vermogen 28,117.23526,792.64525,726.40621,844.45219,334.31615,673.29414,047.0310,395.1016,445.1214,474.381,797.2221,875.7479,185.6559,756.4269,982.9511,229.567639.728340.396251.426
Totaal passiva en aandeelhoudersvermogen 34,108.75932,010.84130,742.2927,000.32724,037.66620,583.47418,279.00314,768.12813,276.67915,556.75112,124.26411,158.4541,730.48638,339.40227,671.6283,528.1081,957.3331,087.567716.257