Motilal Oswal Financial Services Limited

NSE:MOTILALOFS.NS

942.65 (INR) • At close November 4, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Operationele Activiteiten:
Nettowinst 24,410.612,422.516,158.114,567.42,851.93,843.97,665.94,443.722,245.381,978.89594.751,618.181,526.172,107.4112,532.2841,395.7982,398.3861,175.45902.11
Afschrijvingen & Amortisatie 825.8583.8482.6472.7397.1239.5374.9328.383349.43306.71242.65258.55129.7131.278141.888202.712148.473109.9855.48
Uitgestelde Inkomstenbelasting 0-3,609.5-7,110.3-8,396.71,265.41,190.9-1,972.1-2,565.40500-352.02-614.72-557.58-845.22300000
Aandelen Gebaseerde Vergoedingen 249.3290.4240.4198.6109.8189.7327.46.74000.010.050.20.22700000
Verandering in Werkkapitaal 16,545.8-40,302.2306.82,413.54,843.6-3,395.6-6,120.8-22,990.609-14,743.22-4,978.321,503-1,605.45121.58-1,170.531-2,087.651-1,320.751-513.117-421.36410.39
Vorderingen -9,270-414.8-1,120.3-1,810.47,574.2-4,804.3-11,746.6-5,486.3-1,273.354-1,086.13-285.01-2,505.760000000
Voorraden 02,524.5-6,751.8-12,276.9-4,073.6-702.3-0.900606.26849.36118.21301.081,179.88-2,090.664-947.61-16.53218.43-18.43
Crediteuren 20,614.6-2,524.56,751.812,276.94,073.6702.32,8964,419276.3050000000000
Overig Werkkapitaal 5,201.2-39,887.41,427.14,223.9-2,730.61,408.7-6,119.9-21,923.3-13,195.51-5,584.58653.64-1,723.66-179.5-2,350.4113.013-373.142-496.586-439.79428.82
Overige Niet-Contante Posten -21,714.4362937.134.2-6.7842.71,151.759538.68-465.024.389.9734.9436.296-930.997-416.823-600.839-386.15-239.21
Kasstroom uit Operationele Activiteiten 29,760.8-30,57910,106.69,292.69,5022,061.71,118-19,625.412-11,609.73-3,157.741,992.77-333.421,255.01259.458-344.476-139.0651,432.902477.921,128.77
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,507.7-1,675.4-545.4-646.7-699.2-265.9-408.2-257.508-356.573-263.86-78.06-251.81-716.83-643.383-1,805.905-98.479-321.672-305.32-414.46
Netto Overnames 01,2944,961.82,114.62,849.1-398.75.17.83.8880123.770211.15-100-1.131-75000
Aankoop van Beleggingen -5,405.1-4,828.6-11,125.4-5,877.8-5,873.1-71,641.9-140,715.9-161,388.352-85,381.780-2,212.73-918.82-356.2-83.143-155.25-188.108-193.500
Verkoop/verval van Beleggingen 4,289.13,534.66,163.63,733.83,02471,935.2139,056.6158,292.21581,804.401,622.401,211.01124.399240.41283.03000
Overige Investeringsactiviteiten 54.2-1,199.4-3,928.5-2,087.1-2,826.4410.4160.231.012-221.7814.47-1.83578.550.01105.50798.28487.48340.395-728.4529.74
Kasstroom uit Investeringsactiviteiten -31,017.4-2,874.8-4,473.9-2,763.2-3,525.639.1-1,907.3-3,322.633-3,799.16-249.39-546.45-592.08349.14-596.62-1,623.59-191.075-474.777-1,033.77-384.72
Financieringsactiviteiten:
Schuldaflossingen -3,788.9-41,201.8-17,189-45.2-5,309.1-1,652.1-2,703.4-24,775.8-15,373.67-4,662.13-28.6100000000
Uitgifte van Gewone Aandelen 772.8106.4339.8151.4403.9182.6208.2428.43362.02332.52000.3533.8290.163014.9141,487.5756.18
Terugkoop van Gewone Aandelen 0-1,984.3-927.8-1,485.35,309.11,652.10032,149.2-0.25-559.8600000000
Uitgekeerde Dividenden -2,524.2-1,482.5-867.3-289.4-1,561.1-1,523.9-1,190.3-517.498-764.9-488.09-284.13-241.28-419.05-202.819-141.491-151.491000
Overige Financieringsactiviteiten 401.682,403.721,466.248.9-123.3-80.71,697.324,289.925-1.199,323.49-52.21-18.78-35.99-1,162.1841,008.222-1,614.593,678.255-22.38-138.18
Kasstroom uit Financieringsactiviteiten 33,012.437,841.52,821.9-2,044.3-1,278-1,422715.224,200.85716,371.464,505.54-896.2-260.06-454.69-1,331.174866.894-1,766.0813,693.1691,465.19-82
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000.500-15.2000.05-0.0100000-0-0.010
Netto Kasstroomverandering 94,9464,387.78,454.64,4854,698.4678.8-89.31,252.812962.571,098.46550.11-1,185.561,149.46-1,668.336-1,101.172-2,096.2214,651.294909.33662.05
Kaspositie aan het Einde van de Periode 120,713.125,763.121,375.412,920.28,435.23,736.83,051.53,140.81,887.992,716.061,617.611,067.52,253.072,665.1484,333.4845,428.0627,479.0512,164.791,240.92