Manaksia Limited

NSE:MANAKSIA.NS

101.45 (INR) • At close September 20, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 845.11,961.2132,388.051,118.6151,595.9491,163.0484,816.1583,730.6791,050.79227.264515.37346.892311.035457.623757.651355.809128.61490.99
Kortetermijnbeleggingen 4,241.2547,586.3316,479.0455,819.3152,376.664,136.70373.32745.39543.69131.05-1.92119.6000000
Liquide middelen en kortetermijnbeleggingen 5,086.3549,547.5448,867.0956,937.933,972.6095,299.7514,889.4853,776.0741,094.481258.314515.37366.492311.035457.623757.651355.809128.61490.99
Nettovorderingen 567.9611,640.4991,546.049876.6661,244.132,091.5151,657.6791.9472.5222.3532.3532.355000000
Voorraad 673.623698.9081,517.6091,293.6441,591.8391,787.0981,403.471,333.9381,948.4853,554.9066,777.8535,200.9154,676.6855,308.0273,540.7273,710.1823,038.9633,148.911
Overige vlottende activa 216.171476.86138.18342.3162,904.814807.566770.424,300.3786,281.0545,555.1818,142.7117,098.6746,193.0815,580.6524,596.6494,348.5743,454.2192,371.009
Totaal vlottende activa 6,544.10912,363.81211,968.9339,450.5568,469.2629,985.938,721.0549,412.3379,326.5429,370.75415,438.28712,668.43611,180.80111,346.3028,895.0278,414.5656,621.7965,610.91
Niet-vlottende activa:
Materiële vaste activa, netto 483.7431,316.2741,450.6951,763.8332,129.1072,684.9843,193.2342,695.8825,070.4194,738.8778,739.9858,931.9088,970.118,257.9968,208.3476,991.6085,781.0045,406.167
Goodwill 000000000000000000
Immateriële activa 0.3250.3250.3250.3250.5521.0811.8382.5953.3524.1363.6941.654.24700000
Goodwill en immateriële activa 0.3250.3250.3250.3250.5521.0811.8382.5953.3524.1363.6941.654.24700000
Langetermijnbeleggingen 178.90118.69176.69671.6258.06712.367-57.401-44.084-41.871-29.3883.627-17.894000000
Belastingvorderingen 13.0893.9963.9513.811.3354.3615.84948.86-3.35234.303-3.627-2.537000000
Overige niet-vlottende activa -3.089230.286235.111399.158671.168-1.0471.2270.00150.2960.00123.01643.71781.3141.812261.792676.1111,389.42884.305
Totaal niet-vlottende activa 672.9691,569.5721,766.7782,238.7512,810.2292,701.7533,214.7472,703.2545,078.8444,747.9298,766.6958,956.8449,055.6718,259.8088,470.1397,667.7197,170.4325,490.472
Totaal activa 7,217.07813,933.38413,735.71111,689.30711,279.49112,687.68311,935.80112,115.59114,405.38614,118.68324,204.98221,625.2820,236.47219,606.1117,365.16616,082.28413,792.22811,101.382
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 217.974353.582340.651592.946749.697856.306626.913980.109530.45522.4962,869.763,344.024000000
Kortlopende schulden 742.311581.8111,136.908520.276132.061435.343495.1261,944.7111,018.7931,810.3283,470.5242,575.15000000
Belastingschulden 257.868778.942766.971199.53258.86280.60965.21422.9960000000000
Uitgestelde opbrengsten 257.868907.61912.848270.309147.948212.777287.18257.771-161.849303.5971,037.41920.049000000
Overige kortlopende verplichtingen 118.091260.096135.609100.20915.30423.13532.825341.537402.4340.3140.3140.3146,972.1474,599.8584,095.6143,242.4422,865.3922,430.891
Totaal kortlopende verplichtingen 1,336.2442,103.0992,526.0161,483.741,045.011,527.5611,442.0463,324.1281,789.8282,636.7357,378.0086,839.5376,972.1474,599.8584,095.6143,242.4422,865.3922,430.891
Langlopende verplichtingen:
Langetermijnschulden 00.6651.8473.314.79712.05626.693132.405391.027387.5891,403.6011,303.2491,700.0064,524.3533,365.1214,274.8673,154.1554,274.015
Uitgestelde opbrengsten niet-vlottend 0022.54422.04117.81528.852000000000000
Uitgestelde belastingverplichtingen niet-vlottend 65.26298.897318.502400.512453.201458.465430.645303.57849.53353.08556.123555.801552537.697517.352498.015464.496428.458
Overige niet-vlottende verplichtingen 20.68525.997-0.174-0.653-1.46-12.05614.72511.26210.24512.6463.61267.55860.46909.369000
Totaal niet-vlottende verplichtingen 85.945325.559342.719425.21474.353487.317472.063447.245450.805453.3092,023.3361,926.6082,312.4755,062.053,891.8424,772.8823,618.6514,702.473
Totaal passiva 1,422.1892,428.6582,868.7351,908.951,519.3632,014.8781,914.1093,771.3732,240.6333,090.0449,401.3448,766.1459,284.6229,661.9087,987.4568,015.3246,484.0437,133.364
Eigen vermogen:
Preferente aandelen 04,915.9594,672.5674,092.23711,314.35811,848.764000000000000
Gewone aandelen 131.068131.068131.068131.068131.068131.068131.068131.068131.068131.068131.068131.068131.068131.068139.068139.068162.808131.808
Ingehouden winsten 16,279.00115,707.79114,836.16913,200.9912,606.75612,708.81712,174.17211,182.28410,469.1949,817.8959,419.4417,686.375000000
Overige gereserveerde algehele resultaten 5,372.399-4,915.959-4,672.567-4,092.237-1,200.787-797.967-361.392-3,486.181-5,035.334-4,453.507-6,109.117-4,982.324-3,948.035-3,143.54-2,690.038-2,134.984-1,604.42-1,222.499
Overige totale aandeelhoudersvermogen -16,279.001-4,594.376-4,350.984-3,770.654-13,260.737-13,362.798-2,047.862403.6916,492.0045,430.34411,257.2929,913.16914,745.31812,928.78311,901.89410,062.8758,749.7975,058.709
Totaal eigen vermogen van aandeelhouders 5,503.46711,244.48310,616.2539,561.4049,590.65810,527.8849,895.9868,230.86212,056.93210,925.814,698.68412,748.28810,928.3519,916.3119,350.9248,066.9597,308.1853,968.018
Totaal eigen vermogen 5,794.88911,504.72610,866.9769,780.3579,760.12810,672.80510,021.6928,344.21812,164.75311,028.63914,803.63812,859.13510,951.859,944.2029,377.718,066.967,308.1853,968.018
Totaal passiva en aandeelhoudersvermogen 7,217.07813,933.38413,735.71111,689.30711,279.49112,687.68311,935.80112,115.59114,405.38614,118.68324,204.98221,625.2820,236.47219,606.1117,365.16616,082.28413,792.22811,101.382