NTPC Limited

NSE:NTPC.NS

411.1 (INR) • At close September 16, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operationele Activiteiten:
Nettowinst 271,414.5243,305.9205,209.1169,989.3222,815.983,719.1132,416.8137,605.5101,035.4104,562.1144,857.6166,109.5131,372.6107,30288,37780,92574,69968,98358,40858,286
Afschrijvingen & Amortisatie 162,036.3147,922.7137,878.3124,503.1103,561.676,88174,599.360,099.160,860.755,802.347,737.238,271.530,330.87,301.825,69230,57529,22723,15721,74422,161
Uitgestelde Inkomstenbelasting 00000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000
Verandering in Werkkapitaal -93,368-66,449.819,1418,286.4-63,198-72,867.6-58,297.52,264.3-36,421.6-11,693.9-12,810.3-4,101.3-29,867.7-25,857.8-9,001-6,749-16,922-4,579-8,727-16,790
Vorderingen -12,967.3-32,560.71,997.33,407.5-70,866-19,067.91,858.5-6,395.1-1,728.1-29,760.9-6,290.214,171.400000000
Voorraden -25,867.3-30,049.85,386.820,322.7-23,096.8-16,432.88,127.28,041.83,619.8-16,778.3-11,542.4-1,862.1-969.5-2,522-424-5,298-510-1,206-4,602-413
Crediteuren -5,883.534,612.836,974.1-5,464.815,241.25,024.220,848.30000000000000
Overig Werkkapitaal -48,649.9-38,452.1-25,217.2-9,97915,523.6-42,391.1-66,424.7-5,777.5-40,041.45,084.4-1,267.9-2,239.2-28,898.2-23,335.8-8,577-1,451-16,412-3,373-4,125-16,377
Overige Niet-Contante Posten 110,864.475,736.755,653.921,661.8-17,347.375,938.847,908.66,033.728,631.6-1,212-15,090.7-35,201.818,78432,00314,167-2,33417,079-4,498-8,388-12,639
Kasstroom uit Operationele Activiteiten 407,845.9400,515.5417,882.3324,440.6245,832.2163,671.3196,627.2206,002.6154,106.1147,458.5164,693.8165,077.9150,619.7120,749119,235102,417104,08383,06363,03751,018
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -308,159.2-248,185.2-244,444.2-233,123.4-182,304.4-198,258.5-187,648.8-244,171.1-232,469.8-191,772.4-189,484.5-204,057.4-159,324.7-137,358.4-140,093-113,444-99,442-84,686-92,818-54,606
Netto Overnames -2,194-8,572.54,998.779.1-122,649.8-40,574.4-11,530.8-12,002.41,228.3025,924.626,922.70010,860013,71817,02119,7550
Aankoop van Beleggingen -14,564.4-6,785-2,960.9-4,999.9-240.9-1,233-22,241.13,868.2-8,316.30-114,265.8-179,550-236,300-158,481.7-105,2080-4,385-23,598-45,959-34,219
Verkoop/verval van Beleggingen 50013,604.94,999.942,259.92,386.314,070.203,436.316,535.816,390.8130,490.4195,838.3254,338.7192,680.7104,39617,50021,32257,14271,6430
Overige Investeringsactiviteiten -4,145.5-11,134.29,024.1-14,560.2-407.93,607-7,537.5-441.29,527.517,036.6-7,758.9-7,605.38,812.89,442.5-2612,054-1,593-47-75024,214
Kasstroom uit Investeringsactiviteiten -321,413.7-261,072-228,382.4-210,344.5-303,216.7-222,388.7-206,717.1-249,310.2-206,406.5-158,345-155,094.2-168,451.7-132,473.2-93,716.9-130,071-83,890-70,380-34,168-48,129-64,611
Financieringsactiviteiten:
Schuldaflossingen -151,365.7-245,236.6-265,140.8-245,044.4-103,959.3-140,843.7-69,665.7-111,084.6-81,382.6-50,762.4-51,897.4-46,033.1-36,517.9-51,084.4-27,514-22,944-22,397-16,140-17,632-13,579
Uitgifte van Gewone Aandelen 000272,682.600001.2000000000026,841
Terugkoop van Gewone Aandelen 000-27,638.200000000000000020,458
Uitgekeerde Dividenden -74,194.3-72,479.1-71,069.3-57,784.2-37,750.9-49,225.5-40,402.8-35,950.3-27,622.4-123,882-50,189.6-35,501-35,501-31,491.6-31,386-29,743-28,932-26,500-26,514-20,835
Overige Financieringsactiviteiten -98,870.3176,171144,494.5-52,706.9195,335.6247,045.3120,401.2178,58773,798.7159,899.475,61191,415.256,190.873,612.157,76153,06034,25044,65153,330-4,595
Kasstroom uit Financieringsactiviteiten -82,455.3-141,544.7-191,715.6-110,491.160,042.656,976.110,332.731,552.1-35,206.3-14,745-26,4769,881.1-15,828.1-8,963.9-1,139373-17,0792,0119,1848,290
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00-526.80-0.3-0.10-0.60.80.21.9000000000
Netto Kasstroomverandering 3,976.9-2,101.2-2,215.73,6052,657.8-1,741.4242.8-11,756.1-87,505.9-25,631.3-16,874.56,507.32,318.418,068.2-11,97518,90016,62450,90624,092-5,303
Kaspositie aan het Einde van de Periode 8,633.44,656.57,284.59,500.25,895.22,089.73,881.13,638.357,369.5144,875.4170,506.7187,381.2180,916.7178,598.3160,530172,505153,605136,98186,07561,983