Max Financial Services Limited

NSE:MFSL.NS

1154.5 (INR) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 17,454.412,2597,640.2827,155.7337,670.1576,886.4034,409.1863,537.3413,333.0532,595.8993,790.1683,915.1735,608.4257,172.2591,202.0862,283.687319.756582.387428.84275.034242.947
Kortetermijnbeleggingen 476.15569.67218,535.97616,096.1979,883.84590.40257,332.90346,829.59124,070.54229,059.1520,278.19822,150.60422,873.17600000000
Liquide middelen en kortetermijnbeleggingen 17,454.412,25926,176.25823,251.9317,554.0026,886.40361,742.08950,366.93227,403.59531,655.04924,068.36626,065.77728,481.6017,172.2591,202.0862,283.687319.756582.387428.84275.034242.947
Nettovorderingen 18,564.115,931.73613,968.1911,898.0413,914.99611,166.839,311.78212,526.23411,474.6680006,990.1548,940.37510,077.1439,856.947,657.8243,802.542,509.611440.87496.409
Voorraad 010,444.58750.82147.60115.55685.2366,973.619292.294-11,474.6681,792.001814.748613.295634.373566.203430.781406.323386.645219.083148.707138.845384.175
Overige vlottende activa -36,018.5-28,765.502-21,914.644-19,066.195-21,601.6323,799.6441,012.787498.83111,858.24613,872.42712,637.50711,240.8381,954.5393,427.779920.515720.138539.627299.521226.8493,588.2481,604.94
Totaal vlottende activa 9,059.39,869.8215,689.3675,071.7274,474.61822,538.11379,040.27763,684.29139,261.84147,319.47737,520.62137,919.9138,060.66720,106.61612,630.52513,267.0888,903.8524,903.5313,314.0074,442.9972,728.471
Niet-vlottende activa:
Materiële vaste activa, netto 4,074.23,857.22,972.0823,458.7854,043.7651,011.574747.791653.084981.497,993.70714,102.76512,845.29511,908.7019,971.3088,633.0968,265.536,221.5065,348.2413,551.1042,570.3162,623.381
Goodwill 5,252.55,252.55,252.5445,252.5445,252.5445,252.5446,590.8055,252.5442,094.4673,718.7543,141.8863,286.7210000000520.922484.688
Immateriële activa 3.52,367.11,737.8661,403.3571,284.9581,214.145891.5361,034.9781.028675.933842.163764.3910000000260.917145.223
Goodwill en immateriële activa 5,2567,619.66,990.416,655.9016,537.5026,466.6897,482.3416,287.4442,875.4954,394.6873,984.0494,051.1122,545.411,290.3511,018.1151,037.483960.755935.394918.049781.839629.911
Langetermijnbeleggingen 1,568,353.889,200.876,767.33753,245.76139,776.865632,447.641188,409.544440,188.142360,345.517319,836.954250,985.409209,931.95222,873.17600000000
Belastingvorderingen 23.438.612.98588.42699.3744,630.989276,916.951-43,660.805-22,168.098-24,515.3900132,342.8037.7910411.29496.655061.59569.5112.583
Overige niet-vlottende activa 40,968.1-95,425.165-81,447.165-57,945.123-44,949.945,012.385223.187241.158166.1550.182-15,418.999-16,971.14230.176138,005.387110,401.25256,378.88448,402.78221,350.00813,660.4026,164.3470
Totaal niet-vlottende activa 1,618,675.55,291.0355,295.6495,503.755,507.566649,569.278473,779.814403,709.023342,200.559307,710.14253,653.224209,857.217169,700.266149,274.837120,052.46366,093.19155,681.69827,633.64318,191.159,586.0023,365.875
Totaal activa 1,627,734.81,318,237.81,177,485.518981,316.094745,262.197672,107.389552,820.091467,393.314381,462.4355,029.617291,173.845247,777.127207,760.933169,381.453132,682.98879,360.27964,585.5532,537.17421,505.15714,028.9996,094.346
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 14,605.217,09514,146.88812,353.22310,396.1949,791.74210,242.56510,459.2897,118.0429,370.5079,001.1748,404.9127,836.2287,250.7475,747.7874,865.4663,712.5762,135.3011,464.893154.4060
Kortlopende schulden 5,207539.989520.648520.24515.2100-3,131.65-2,892.9091,401.0642,637.6032,876.857809.251000016.93901.7181.353
Belastingschulden 00010.9411,237.8210016.4820000000000000
Uitgestelde opbrengsten 9,398.216,555.01113,626.2411,832.97810,380.984003,131.652,892.9095,550.1235,528.2594,510.4771,651.7510000437.0960128.7390
Overige kortlopende verplichtingen -14,605.2-17,095-14,146.888-12,353.223-10,396.1943,932.29552,519.7741,499.60237,062.5229,753.3628,833.62621,403.11917,197.0138,639.1753,920.8462,326.7432,976.9991,148.281,153.741,502.4261,524.277
Totaal kortlopende verplichtingen 14,605.217,09514,146.88812,353.22310,396.19413,724.03762,762.33551,958.89144,180.56246,075.05446,000.66237,195.36527,494.24315,889.9229,668.6337,192.2096,689.5753,737.6162,618.6331,787.2891,525.63
Langlopende verplichtingen:
Langetermijnschulden 5,2078,211.87,781.1372,873.5893,255.875-138.959-483,042.925-436,567.93904,030.4564,353.4633,765.3763,975.20510,293.789,614.923,474.1945,519.015,586.7783,822.2474,142.6292,832.875
Uitgestelde opbrengsten niet-vlottend -1,575,677.22,201.3826.40112.58911.006138.959482,670.171436,567.93901,156.698623.2321.135832.40400000000
Uitgestelde belastingverplichtingen niet-vlottend 58.80.138.182566.97335.768565.079372.75410.8874.98553.352147.778190.248126.629103.72420.016413.301438.826264.476220.602213.198208.43
Overige niet-vlottende verplichtingen 1,575,618.4-5,206.641-2,620.098-3,453.151-35.768629,487.288456,231.743384,587.274310,600.983264,523.259201,347.596168,676.841141,856.679122,730.86791,710.84849,853.8532,274.27415,733.4867,442.43,838.527-1,508.099
Totaal niet-vlottende verplichtingen 5,2075,206.6415,205.6223,453.1513,266.881630,052.367456,231.743384,598.161310,605.968269,763.765206,472.037172,953.6146,790.917133,128.371101,345.78453,741.34538,232.1121,584.7411,485.2498,194.3541,533.206
Totaal passiva 1,584,039.41,278,552.81,132,636.355945,265.701717,073.657643,776.404518,994.078436,557.052354,786.53315,838.819252,472.699210,148.965174,285.16149,018.293111,014.41760,933.55444,921.68525,322.35614,103.8829,981.6433,058.836
Eigen vermogen:
Preferente aandelen 000024,506.04622,629.69411,846.78717,767.40600654.6871,2501,2502,5002,5002,5002,5000000
Gewone aandelen 687.3687.2690.23690.181539.019538.772536.768534.54533.968533.006532.455531.041529.138464.969464.749444.061443.485359.804349.103354.044231.352
Ingehouden winsten 38,659.3-11,588.496-10,106.611-16,018.58214,619.97913,918.92520,361.92317,767.40614,057.9939,519.6256,289.8446,028.5910-2,670.915-2,705.561-1,948.8370792.808000
Overige gereserveerde algehele resultaten 37,9722,030.6271,957.9881,967.497-1,505.04-503.543-3,051.966-3,068.587-2,869.088-6,132.643-6,620.964-5,840.539-5,089.758-5,037.51-3,971.412-2,895.289-2,122.075-1,617.986-1,267.84-848.298-978.081
Overige totale aandeelhoudersvermogen -38,659.344,053.06946,804.52146,790.523-16,694.805-15,993.504-3,580.721-9,654.2167,927.32529,100.17329,639.83528,309.40529,688.14521,463.60221,969.92517,562.99717,116.1246,491.5397,370.9844,201.8523,484.699
Totaal eigen vermogen van aandeelhouders 38,659.335,182.439,346.12833,429.61921,465.19920,590.34426,112.79123,346.54919,650.19833,020.16130,495.85730,278.49826,377.52516,720.14618,257.70115,662.93217,937.5346,026.1656,452.2473,707.5982,737.97
Totaal eigen vermogen 43,695.439,68544,849.16336,050.39328,188.5428,330.98533,826.01330,836.26226,675.8739,190.79838,701.14637,628.16233,475.77320,363.1621,668.57118,426.72519,663.8657,214.8187,401.2754,047.3563,035.51
Totaal passiva en aandeelhoudersvermogen 1,627,734.81,318,237.81,177,485.518981,316.094745,262.197672,107.389552,820.091467,393.314381,462.4355,029.617291,173.845247,777.127207,760.933169,381.453132,682.98879,360.27964,585.5532,537.17421,505.15714,028.9996,094.346