Kaveri Seed Company Limited

NSE:KSCL.NS

1060 (INR) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 242.132212.9198.219132.51577.85650.057137.712208.41294.88765.60466.56142.64496.08345.395199.473139.962195.1848.10233.6
Kortetermijnbeleggingen 4,718.7895,571.3334,707.0885,610.9113,513.1544,763.7085,754.8286,544.7284,863.4072,947.7052,777.3051,2901,105.686230.691112.247142.015123.17700
Liquide middelen en kortetermijnbeleggingen 4,960.9215,784.2334,905.3075,743.4263,591.014,813.7655,892.546,753.144,958.2953,013.3092,843.8651,432.6441,201.77276.086311.72281.976318.35748.10233.6
Nettovorderingen 1,118.3081,335.1171,710.1971,592.7911,707.5141,005.5781,045.0051,047.973926.8291,896.418756.003798.165293.035000000
Voorraad 8,639.1788,352.5038,424.3668,837.3457,282.1256,143.2274,885.835,033.8375,044.4874,943.4934,971.5464,911.8753,033.4411,649.2351,282.363757.32235.341107.76232.363
Overige vlottende activa 381.872308.5032.1841.3456.8621.9940.6941.6556.26961.2933.960.387132.276361.609407.687414.958365.635235.333182.657
Totaal vlottende activa 15,100.27915,780.35615,042.05416,174.90712,587.51111,964.56411,824.06912,836.60510,935.8819,914.5138,575.3747,143.0714,660.5222,286.9292,001.771,454.254919.333391.197248.62
Niet-vlottende activa:
Materiële vaste activa, netto 4,296.5943,923.6512,848.5682,753.1512,660.8612,755.9952,233.6292,322.4322,202.8522,216.6931,541.1241,444.5531,066.3481,108.7511,090.182786.974366.885208.42792.517
Goodwill 2.672.672.672.672.672.672.672.672.672.672.6700000000
Immateriële activa 11.33413.5284.9888.82915.58324.19531.99616.9693.8575.549.18910.761001.4321.4320.57200
Goodwill en immateriële activa 14.00416.1987.65811.49918.25326.86534.66619.6396.5278.2111.85910.7617.437.3721.4321.4320.57200
Langetermijnbeleggingen 42.83552.157460.832385.855326.862367.273-5,455.667-6,520.538-4,861.225-2,945.528-2,771.803-1,261.525-1,036.18137.583-91.951-121.719110.64100
Belastingvorderingen 40.05528.55526.81914.49212.63310.29911.2438.30.4723.232.4761,338.0992.085230.691112.247142.015123.17700
Overige niet-vlottende activa 1,021.522709.569414.583278.713178.843390.0425,839.0416,611.214,901.762,974.7852,923.9730.6281,185.450.4690.7030.9371.17276.135135.172
Totaal niet-vlottende activa 5,415.014,730.133,758.463,443.713,197.4523,550.4742,662.9122,441.0432,250.3872,257.391,707.6271,532.5161,225.1331,484.8661,112.613809.639602.447284.562227.689
Totaal activa 20,515.28920,510.48618,800.51419,618.61715,784.96315,515.03814,486.98115,277.64813,186.26712,171.90310,283.0028,675.5875,885.6543,771.7963,114.3832,263.8931,521.78675.759476.309
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,469.6852,317.7212,297.0763,584.412,668.6692,411.3682,218.6832,816.1161,950.4981,551.5662,295.1192,486.0851,099.853194.684339.052286.8115.46564.33687.174
Kortlopende schulden 1.3014.7584.7584.7584.7583.276-1,797.331.1940.0990.2610.322.5190000000
Belastingschulden 18.9512.182.8052.019.21814.7515.61160.84442.5310000000000
Uitgestelde opbrengsten 18.9582.8423,188.9413,141.7343,079.6712,602.9271,797.3360.8442,082.5-0.26102,673.66694.698000000
Overige kortlopende verplichtingen 5,151.4044,004.69425.2325.4625.2325.231,980.3052,130.3751.3672,992.1882,768.5217.8642,032.311,404.701809.879512.329294.082178.88165.695
Totaal kortlopende verplichtingen 7,641.346,410.0155,516.0056,756.3625,778.3285,042.8014,198.9885,008.5294,034.4634,543.7545,063.9415,190.1163,416.8611,599.3851,148.932799.13409.548243.216252.869
Langlopende verplichtingen:
Langetermijnschulden 01.3016.05910.81857.87867.80628.78246.38616.38614.3549.1038.39426.094279.215455.236213.78456.666118.934144.201
Uitgestelde opbrengsten niet-vlottend 0179.409137.331135.351121.694103.83792.19582.28870.4863.87850.68836.6260000000
Uitgestelde belastingverplichtingen niet-vlottend 130.23105.345168.062156.568180.626201.53648.7034.494-70.48-63.878-50.6880.0130-1.0970.8610.3241.8631.4710.554
Overige niet-vlottende verplichtingen 383.214141.609152.393105.76157.34636.5430.0010.00270.4863.87850.688028.886000045.7852.653
Totaal niet-vlottende verplichtingen 513.444427.664463.845408.498417.544409.722169.681133.1786.86678.23259.79145.03354.98278.118456.097214.10758.53166.19147.408
Totaal passiva 8,154.7846,837.6795,979.857,164.866,195.8725,452.5234,368.6695,141.6994,121.3294,621.9865,123.7325,235.1483,471.8411,877.5031,605.0291,013.237468.077409.406400.277
Eigen vermogen:
Preferente aandelen 013,477.0110011,589.4911,863.7760000000000000
Gewone aandelen 102.878111.844116.643120.658120.658126.258132.184138.11138.11137.792137.484137.022137.022137.022137.022137.022137.0229716
Ingehouden winsten 013,831.15112,770.16412,238.0049,463.8899,507.189,561.0168,325.8897,467.0756,048.0124,361.2782,160.481,235.41,757.2711,372.3321,113.635916.68141.04858.15
Overige gereserveerde algehele resultaten 12,224.1173.562287.468453.892-1,902.601-1,694.914-1,491.322-1,271.769-992.974-729.97-588.624-436.283-323.849-231.939-131.237-95.185-63.425-44.141-32.327
Overige totale aandeelhoudersvermogen 0-13,942.995-366.631-368.32-9,684.747-9,733.6381,922.122,951.1322,454.5632,091.8771,245.1531,579.221,365.241231.939131.23795.18563.42572.44634.209
Totaal eigen vermogen van aandeelhouders 12,326.97813,650.57312,807.64412,444.2349,586.68910,068.66210,123.99810,143.3629,066.7747,547.715,155.2923,440.4392,413.8131,894.2931,509.3541,250.6561,053.702266.35376.032
Totaal eigen vermogen 12,360.50513,672.80712,820.66412,453.7579,589.09110,062.51510,118.31210,135.9499,064.9387,549.9175,159.273,440.4392,413.8131,894.2931,509.3541,250.6561,053.702266.35376.032
Totaal passiva en aandeelhoudersvermogen 20,515.28920,510.48618,800.51419,618.61715,784.96315,515.03814,486.98115,277.64813,186.26712,171.90310,283.0028,675.5875,885.6543,771.7963,114.3832,263.8931,521.78675.759476.309