Max Financial Services Limited

NSE:MFSL.NS

1154.5 (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 3,400.85,2723,886.5895,928.9254,424.8554,808.3985,380.5567,015.6394,650.2375,124.5822,744.7839,913.8322,418.85317.483-405.576-3,570.103-430.634-554.8843,352.616-1,565.634-927.756
Afschrijvingen & Amortisatie 2,129.11,777.71,802.1281,616.5931,612.182762.147627.74625.283604.6961,537.9871,379.0841,367.947943.7912,015.4671,388.858846.942659.587466.741360.325343.157309.821
Uitgestelde Inkomstenbelasting 0148,574.4133,531.286116,496.191103,850.686-20,700.242-15,867.3980000000-16,881.9193,764.193-1,900.13-1,031.69500.882-222.524
Aandelen Gebaseerde Vergoedingen 33.941.81.916.646260.15771.998-391.462899.431324.515449.945256.70595.3160079.22823.83943.31754.566021.8982.011
Verandering in Werkkapitaal -3,811.88,387143.1848,696.82523,960.60433,600.57624,480.3780,601.21648,401.97665,925.65942,232.83632,917.942,429.1862,692.4861,609.683-1,261.84131.813170.812-178.411-274.22183.306
Vorderingen -2,412.7-235.684-650.5542,121.667-1,886.98-555.343-1,016.205-55.396-1,242.153-415.39-111.087-1,521.887000000000
Voorraden 0-3,067.888-2,274.927-4,037.4521,699.389-857.356079,695.14948,172.22464,682.26442,678.56431,065.274-144.974-135.421-24.458-19.678-167.562-70.376-11.907224.369-155.273
Crediteuren -1,924.13,067.8882,274.9274,037.452-1,699.389857.356-195.1271,844.913-295.145000000000000
Overig Werkkapitaal 5258,622.684793.7386,575.15825,847.58434,155.9191,280.893906.067229.7521,243.395-445.7281,852.6662,574.162,827.9071,634.141-1,242.163199.375241.188-166.504-498.589338.579
Overige Niet-Contante Posten 67,946.4-64,830-54,406.411-46,558.017-39,217.21269,717.72255,281.92-45,579.551-15,636.227-46,794.44-24,578.362-24,785.69222,744.77721,783.68438,876.92115,438.05915,598.0557,513.684-1,016.492,004.534922.441
Kasstroom uit Operationele Activiteiten 61,069.599,222.984,958.57586,211.26394,675.37288,260.59969,511.72642,662.58738,020.68225,793.78821,778.34119,414.02728,536.60426,809.1224,667.19515,241.08914,002.0086,619.2242,518.04530.617267.299
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,228.9-1,739.3-1,279.992-829.388-1,278.257-1,004.49-491.884-810.688-887.336-3,265.364-3,072.24-2,587.393-3,316.224-3,408.308-1,774.093-3,011.373-1,880.662-2,412.025-1,106.175-688.103-538.057
Netto Overnames 17.8-8,426.65,548.137-538.501-1,043.276-1,012.352491.884810.688887.3361,689.428-2.1196,406.1147,519.4830.8710010.5151.5111.097126.976466.537
Aankoop van Beleggingen -1,139,556.3-12,082,021.5-13,404,784.655-9,970,880.684-7,070,271.032-7,438,594.608-5,216,770.717-4,017,212.533-2,692,902.512-1,775,010.711-1,504,377.726-659,214.623-544,202.292-487,616.65-294,873.468-158,652.964-114,181.23-53,201.96-42,757.996-10,163.583-5,928.365
Verkoop/verval van Beleggingen 1,015,337.911,936,159.713,258,948.1239,842,696.7496,982,444.3877,352,720.4865,150,673.8253,955,670.6672,639,348.1611,737,001.0251,475,376.752627,314.228495,221.826460,255.311258,954.245146,387.06486,865.91445,868.70238,912.8167,249.1244,994.393
Overige Investeringsactiviteiten 77,779.163,751.253,214.62543,746.3158.9-1.28-1,379.86721,237.05918,523.96416,473.55612,858.77510,119.64912,558.6355,066.613,373.9482,490.0761,839.948971.866496.56541.931,023.134
Kasstroom uit Investeringsactiviteiten -50,038.9-92,276.5-88,353.762-85,805.514-90,089.278-87,892.244-67,476.759-40,304.807-35,030.387-23,112.066-19,216.558-17,962.025-32,218.572-25,702.166-34,319.368-12,787.197-27,345.52-8,721.917-4,343.698-2,933.65617.642
Financieringsactiviteiten:
Schuldaflossingen -817.3-736.96-750.101-783.947-747.8790000-4,987.524-861.062-709.125-360.22-812.274-401.475-345.369-487.802-65.555-1,659.254-882.904-1,334.346
Uitgifte van Gewone Aandelen 74.909.7110.24634.49241.873276.3340.5720.9620.5511.4141.9037,767.851346.21,428.7461,950.511,279.998644.361,688.0731,358.224488.946
Terugkoop van Gewone Aandelen -129.3-1,218.7740.39783.701713.3890000-1,434.3-504.7661,289.701000000000
Uitgekeerde Dividenden 00-320.718-137.756-3,112.33-1,978.297-1,439.455-480.662-747.056-1,545.653-1,063.788-2,655.202000000000
Overige Financieringsactiviteiten -373.1-372.044,200.454-782.417-690.01241.873-1,439.456-1,673.402-1,123.1294,090.935295.838-128.806-2,079.597407.2137,545.393-2,098.8442,289.4651,661.7381,993.391,947.631740.917
Kasstroom uit Financieringsactiviteiten -1,169.9-2,327.73,879.736-920.173-3,802.34-1,736.424-1,163.122-2,153.492-1,869.223-3,875.991-2,132.364-2,201.5295,328.034-58.8618,572.664-493.71313,081.6612,240.5432,022.2092,422.951-104.483
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00.039000000-383.918000-0.4540.342-2.0923.752-0.781.53220.0264.2690.002
Netto Kasstroomverandering 5,190.3064,618.7484.549-514.424783.754-1,368.069871.845204.288737.154-1,194.269429.419-749.5271,645.6121,048.435-1,081.6011,963.931-262.631139.382216.57724.181180.46
Kaspositie aan het Einde van de Periode 17,454.412,2597,640.2827,155.7337,670.1576,886.4034,409.1863,537.3413,333.0532,595.8993,833.2913,944.7865,052.8023,572.2591,202.0862,283.687319.756465.469391.236174.659150.478