Lupin Limited

NSE:LUPIN.NS

2171.9 (INR) • At close September 19, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operationele Activiteiten:
Nettowinst 24,222.77,164.9-13,722.116,764.58,767.815,171.75,468.135,431.434,330.334,148.328,316.519,24611,960.79,963.28,356.96,060.45,402.14,074.52,255949.61,911.1
Afschrijvingen & Amortisatie 11,968.18,806.916,587.18,874.111,595.810,850.110,858.79,122.34,6354,3472,609.73,321.92,275.21,711.81,239.1879.9647.4466.1408.8336.2295.3
Uitgestelde Inkomstenbelasting 0-3,094-23.1-7,009.9-3,837-7,4358,618.8-10,846.8-11,904-10,915.9-6,562.7-4,902.1-3,117.3-2,481.80-965.70-779.7000
Aandelen Gebaseerde Vergoedingen 383.3584.3573508.1532.8617.2849.5965.6365.2676.821143.715.57.14.70.70-125.2000
Verandering in Werkkapitaal 855.13,262.6-150.4-1,924.9-4,710.3-5,001.9-10,194.35,058.6-31,536.5-949.1-4,663.1-5,493.5-5,815.7-1,510.3-1,366.2-1,738.9-2,589-2,022.2-1,183.6-193.51,735
Vorderingen -2,412.7-1,319.82,753.68,950.1-10,435.2-556.1-8,880.7973.2-17,083.8-1,236.2-3,360.3-3,924.8000000000
Voorraden -4,401.51,954.4-4,993.3-6,574.2-4,795.9-2,948172.7-3,715.3-6,002.6-3,366.4-1,563.3-2,009.1-4,156.4-2,148.5-279.7-1,283.4-2,470-973.4-814.4-304.8-707.6
Crediteuren 4,1882,168.12,341.6-3,734.55,639.4-1,627.9-283.96,099.6-621.4000000000000
Overig Werkkapitaal 3,481.3459.9-252.3-566.34,881.4130.1-10,3678,773.9-25,533.92,417.3-3,099.8-3,484.4-1,659.3638.2-1,086.5-455.5-119-1,048.8-369.2111.32,442.6
Overige Niet-Contante Posten 2,280.22,421.8467.71,009.52,339.32,457.61,911.1-9,430.4-11,483.7-10,892.5-6,434.8-4,607.8-2,844.5-2,202.6-1,470.4-506.7-875.2-613.8-165-166.7-31.2
Kasstroom uit Operationele Activiteiten 36,483.618,969.83,673.118,217.614,688.416,659.717,511.941,147.5-3,689.727,330.520,039.312,510.35,591.27,969.26,764.14,695.42,585.31,779.41,315.2925.63,910.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -9,289-14,996.2-9,050.8-6,776.2-6,731.3-9,853.5-15,534.2-26,367.9-58,157.2-8,711.8-5,286.4-5,511.10-4,286.5-6,708.5-3,399.1-2,347-1,773.4-830.6-1,292-837.1
Netto Overnames -1,465-2,910-1,468459.115,782.91,296.4636.3361.3-12,222.6-6,294.1-886.8-102.1-2,289.4-80.30-1,566-2,720.248.3000
Aankoop van Beleggingen -111,283.5-118,232.6-113,501.9-124,175.2-141,257.2-91,586.20-5-30.1-4.5000-576.2-29.3-1,534.3-1,255.30-1.60-24
Verkoop/verval van Beleggingen 105,909.9122,190.1129,393.3123,920.3140,065.571,340.8383.912.338.145.54.717.9605.821,351.51,251.4000.154.1
Overige Investeringsactiviteiten -1,579.41,0817,549.7-5,823.83,210-4,022.21,077.6-25,294.1-57,219.7-4,250.5-7,704.1-5,121.2-5,141.122.2-63.5103.4305.8209.460.35.83.8
Kasstroom uit Investeringsactiviteiten -17,122-12,867.712,922.3-12,395.811,069.9-32,824.7-14,072.7-25,286.8-69,434.3-10,545.1-8,585.4-5,218.6-7,412.6-4,315-6,799.3-5,096.2-4,918.2-1,515.7-771.9-1,286.1-803.2
Financieringsactiviteiten:
Schuldaflossingen -16,171.3-1,134.9-161.3-13,677.1-1,504.1-12,921.6-8,974.7-9,612.5-601.6-699.5-5,298.2-4,645.4000-246.40-455.7000
Uitgifte van Gewone Aandelen 145.519.4160.8107.659.737145.2426.5536.4413239.4128.450.7137.5107.453.62617.9000
Terugkoop van Gewone Aandelen 01,118.1161.313,677.11,504.1-12,921.60062,246.4-109.2-278.2-422.7000000000
Uitgekeerde Dividenden -1,828-1,825-2,950.9-2,723.2-2,729.8-2,248.4-3,383.4-3,377.6-3,368.3-1,344.5-3,214.9-1,434-1,415.9-1,431.6-1,262.3-982.6-476.7-297.8-297.8-294.5-226.1
Overige Financieringsactiviteiten -18,579.8-1,547.5-12,933.1-16,237.1-6,700.935,495.9-11,682.77,282.961,559.5-337.9-297.4-677.92,463.1-310.92,516.2-496.11,270.8-372.24,255.8624-2,772.6
Kasstroom uit Financieringsactiviteiten -21,842.1-3,369.9-15,723.2-18,852.7-8,905.87,441.3-14,920.94,331.858,126-1,968.9-8,571.1-6,628.91,097.9-1,6051,361.3-1,671.5820.1-1,107.83,958329.5-2,998.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0-220.70000-0.100000000000000
Netto Kasstroomverandering -2,480.52,732.2872.2-13,030.916,852.5-8,723.7-11,481.820,192.5-13,069.215,018.12,956.9662.8-512.32,206.81,301.5-2,025.8-1,149.9-915.44,501.3-31108.3
Kaspositie aan het Einde van de Periode 9,837.612,645.910,134.49,262.222,293.15,440.616,512.927,994.78,015.121,084.36,066.23,109.32,446.54,186.71,982.3680.82,706.63,856.54,771.9270.6301.6