Lumax Industries Limited

NSE:LUMAXIND.NS

2340 (INR) • At close May 9, 2025
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 315.15971.758155.25728.36579.520.13312.4113.69534.552190.126159.85282.531308.208323.756194.068190.02945.916294.114
Kortetermijnbeleggingen 249.037581.19824.94892.934309.56512.8618.680.9870.9870.9870.5640.8140.839320.25277.078287.536167.621176.127
Liquide middelen en kortetermijnbeleggingen 564.196652.956180.205121.299389.06532.99331.0914.68235.539191.113160.414283.345309.047644.006471.145477.565213.537470.242
Nettovorderingen 3,608.8613,386.8962,465.6192,279.2981,817.0932,291.5883,487.4141,909.4221,811.9031,643.5571,621.761,302.3621,535.6190863.914000
Voorraad 5,815.3983,779.3142,643.4752,223.4221,791.7822,041.4731,687.8741,160.4541,045.5021,098.96772.1351,079.723900.593821.598538.849763.126708.903451.208
Overige vlottende activa 2,152.9691,123.393845.982572.524298.517294.47416.755402.857429.319394.413451.099170120.5871,681.089216.836674.912128.457125.648
Totaal vlottende activa 12,135.8378,365.6246,114.5855,106.2194,287.9434,649.0575,623.1333,472.1093,330.1383,126.6052,771.9252,835.432,865.8452,794.7681,813.6671,915.6031,621.6121,659.635
Niet-vlottende activa:
Materiële vaste activa, netto 11,663.0327,726.9988,011.3817,306.7927,314.8266,249.3355,695.4364,365.6344,224.6014,194.8264,155.2114,196.9173,961.8212,758.6212,665.8452,559.1151,758.7351,425.53
Goodwill 97.75897.75897.75897.75897.7580000000000000
Immateriële activa 78.38885.77476.88547.33458.25753.95743.52333.30225.67425.92733.52248.47451.64247.6527.85738.88454.80237.452
Goodwill en immateriële activa 176.146183.532174.643145.092156.01553.95743.52333.30225.67425.92733.52248.47451.64247.6527.85738.88454.80237.452
Langetermijnbeleggingen 1,786.2071,467.0081,015.911919.881902.414806.818858.502786.328685.97444.08744.5144.86344.838-283.398-240.213-250.847302.332-141.677
Belastingvorderingen 0202.076-456.303-574.657,914.5936,929.249579.888479.293307.064189.624178.092164.0750.839000167.621176.127
Overige niet-vlottende activa 248.762711.431603.861720.248-7,743.799-6,791.988-489.46618.07712.14955.968108.10181.049214.188320.25277.078287.5363.940.645
Totaal niet-vlottende activa 13,874.14710,291.0459,349.4938,517.3638,544.0497,247.3716,687.8835,682.6345,255.4624,510.4324,519.4364,535.384,273.3273,043.1242,730.5672,634.6882,287.4291,498.077
Totaal activa 26,009.98418,656.66915,464.07813,623.58212,831.99211,896.42812,311.0169,154.7438,585.67,637.0377,291.367,370.817,139.1725,837.8914,544.2344,550.2923,909.0413,157.712
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 6,980.8055,575.3314,740.6183,744.3753,151.7133,800.9195,363.6223,268.423,071.0452,960.7562,861.5322,881.9522,706.5322,427.8111,505.2781,262.4761,076.669882.843
Kortlopende schulden 4,510.8553,250.0673,070.0713,021.2792,928.698717.831,017.641410.035559.565757.146469.822746.492664.8440000415.35
Belastingschulden 7.6280024.1586.6380130.40900000000000
Uitgestelde opbrengsten 1,671.311,062.069632.302829.5091,116.7451,791.5171,655.891788.53,126.95893.70474.18377.356148.10900000
Overige kortlopende verplichtingen 2,018.8861,167.742761.45389.921,223.6721,255.44924.808718.877438.484321.067235.089477.233506.913662.336443.403435.896394.068-118.863
Totaal kortlopende verplichtingen 15,189.48410,697.6288,849.3678,009.2417,310.7217,113.358,200.2295,348.1135,260.3554,962.4354,290.5594,105.6773,878.2893,090.1471,948.6811,698.3721,470.7371,179.331
Langlopende verplichtingen:
Langetermijnschulden 2,714.9911,055.134937.679361.986543.4419.36322.8336.377105.729376.157744.6221,010.1821,144.767995.5071,005.9771,293.304828.45558.519
Uitgestelde opbrengsten niet-vlottend 01,021.222969.277319.843547.682261.859129.626114.59892.71691.96372.7972.437.41800000
Uitgestelde belastingverplichtingen niet-vlottend 912.93656.559373.73328.372229.287172.249138.05279.44194.418152.267198.83233.723213.961206.777158.18153.242176.254189.855
Overige niet-vlottende verplichtingen 477.11,068.114759.592648.026513.15424.745200.304316.11510.847403.431450.591488.165182.2850000415.35
Totaal niet-vlottende verplichtingen 4,105.0212,123.2481,697.2711,010.0121,056.591434.108490.81647.84641.576871.5521,268.0031,570.7461,652.8121,202.2841,164.1571,446.5451,004.7041,163.723
Totaal passiva 19,294.50512,820.87610,546.6389,019.2538,367.3127,547.4588,691.0395,995.9535,901.935,833.9865,558.5625,676.4235,531.1014,292.4313,112.8383,144.9172,475.4412,343.054
Eigen vermogen:
Preferente aandelen 00007,448.8586,736.807000000000000
Gewone aandelen 93.47793.47793.47793.47793.47793.47793.47793.47793.47793.47793.47793.47793.47793.47793.47793.47793.47783.477
Ingehouden winsten 5,942.6854,094.5893,180.3852,867.2742,727.6252,611.9151,990.4221,588.3371,090.349353.196881.955843.247195.43800000
Overige gereserveerde algehele resultaten 0968.061963.912963.912-2,020.331-1,423.99-870.628-3,664.791-3,385.957-3,052.04-2,661.801-2,347.954-2,072.857-1,838.605-1,660.865-1,476.766-1,284.853-1,171.749
Overige totale aandeelhoudersvermogen 679.317679.666679.666679.666679.666679.666679.666679.6661,316.745679.666679.666-163.5811,319.156679.666679.666679.666679.666149.636
Totaal eigen vermogen van aandeelhouders 6,715.4795,835.7934,917.444,604.3294,464.684,348.973,619.9773,158.792,683.6691,803.0511,732.7981,694.3871,608.0711,545.461,431.3951,405.3751,433.6814.658
Totaal eigen vermogen 6,715.4795,835.7934,917.444,604.3294,464.684,348.973,619.9773,158.792,683.6691,803.0511,732.7981,694.3871,608.0711,545.461,431.3951,405.3751,433.6814.658
Totaal passiva en aandeelhoudersvermogen 26,009.98418,656.66915,464.07813,623.58212,831.99211,896.42812,311.0169,154.7438,585.67,637.0377,291.367,370.817,139.1725,837.8914,544.2344,550.2923,909.0413,157.712