Persistent Systems Limited

NSE:PERSISTENT.NS

5179.7 (INR) • At close September 18, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,625.159,032.82,977.992,264.911,899.991,739.451,343.721,461.381,400.191,416.24956.54561.261,374.67886.271,917.72165.39113.16112.72339.4560.43
Kortetermijnbeleggingen 12,952.081,879.665,519.2912,783.117,658.75,248.052,084.84187.4937.554,630.624,076.053,121.791,915.242,500.42637.53438.1403.11265.167258.94160.15
Liquide middelen en kortetermijnbeleggingen 19,577.2310,912.4612,844.1915,048.029,558.6910,283.039,344.876,148.536,352.16,046.865,032.593,683.053,289.913,386.692,555.25603.49516.27377.89298.39220.58
Nettovorderingen 16,761.1321,590.5313,657.729,365.38,107.327,548.917,308.517,675.296,661.324,387.573,673.062,752.0700000000
Voorraad 0-1,879.66-4,346.91-6,374.95-5,164.77-3,295.53-5,916.31-4,499.66-4,914.3600000000000
Overige vlottende activa 4,893.493,254.5942.19113.08128.541,140.61,235.23312.3343.71630.14662.74716.99716.99997.27339.9130.2789.3955.88220.7441.44
Totaal vlottende activa 41,231.8535,179.0128,339.2526,703.1319,855.6118,905.0617,739.4714,038.7413,358.3411,064.579,368.396,908.376,039.625,966.074,258.41,776.791,350.55956.705712.05549.22
Niet-vlottende activa:
Materiële vaste activa, netto 7,062.477,219.545,347.083,375.792,957.592,343.342,589.012,816.832,991.853,097.283,092.73,974.752,986.072,212.892,143.052,177.261,895.111,658.2451,489.93785.4
Goodwill 10,912.567,183.712,790.2285.9488.9481.2476.6176.2377.8723.9122.94000000000
Immateriële activa 4,574.959,171.428,269.631,229.51,572.131,898.952,508.262,756.181,566.78995.31,269.05702.1738.73601.89175.3478.1578.1586.70500
Goodwill en immateriële activa 15,487.5116,355.1311,059.851,315.441,661.071,980.192,584.872,832.411,644.651,019.211,291.99702.1738.73601.89175.3478.1578.1586.70500
Langetermijnbeleggingen -6,887.634,5164,218.46-9,136.08-2,761.874,690.042,918.473,261.82,339.392,127.811,224.85674.23-1,792.50924.2442.02288.6-18.255-143.72-58.77
Belastingvorderingen 1,359.641,129.291,122.721,037.57960.08-8,698.43642.01306.39232.75315.44260.12190.21106.5759.856.8220.470000
Overige niet-vlottende activa 15,482.34-1,129.29-1,122.7213,359.398,249.218,698.43-642.01-306.39-232.75-315.44-260.12-190.212,064.45262.78637.53359.95403.11265.167258.94160.15
Totaal niet-vlottende activa 32,504.3328,090.6720,625.399,952.1111,066.089,013.578,092.358,911.046,975.896,244.35,609.545,351.084,103.323,137.413,886.943,077.852,664.971,991.8621,605.15886.78
Totaal activa 73,736.1866,191.4554,140.9736,655.2430,921.6928,555.9926,588.6223,463.7321,065.4317,748.6415,433.8412,729.6810,142.949,103.488,145.344,854.644,015.522,948.5672,317.21,436
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 8,138.625,689.084,298.712,733.442,247.091,517.071,673.081,209.361,599.32528.72433.73319289.13405.91313.13244.21244.21207.38900
Kortlopende schulden 2,804.052,903.91,867.14223.96314.094.755.365.534.5820.170000000000
Belastingschulden 547.29294.14348.72358.85132.1674.8119.510000000000000
Uitgestelde opbrengsten 7,596.221,086.741,021.534,284.593,744.52-4.75-5.36-5.53-4.58-20.170000000000
Overige kortlopende verplichtingen 3,302.829,901.357,022.17455.21168.113,403.383,316.352,963.42,870.133,019.952,350.981,516.271,371.281,080.321,397.18922.62483.04223.884296.39193.54
Totaal kortlopende verplichtingen 21,841.7119,581.0714,209.557,697.26,473.814,920.454,989.434,172.764,469.453,548.672,784.711,835.271,660.411,486.231,710.311,166.83727.25431.273296.39193.54
Langlopende verplichtingen:
Langetermijnschulden 1,707.242,057.592,800.79760.44399.5811.9716.5521.7126.9124.7231.8714.26.5400000211.24211.24
Uitgestelde opbrengsten niet-vlottend 546.9622.96-147.96-127.53-219.26-411.0100-244.6600000000000
Uitgestelde belastingverplichtingen niet-vlottend 18.76-22.96147.96127.53219.26411.01270.41110.75244.662.5100000006.146.144.04
Overige niet-vlottende verplichtingen 44.444,902.013,448.43240.94190.75252.8159.75165.88124.41117.45393.82639.2670.87146.1845.1102.55-5.573-211.240
Totaal niet-vlottende verplichtingen 2,317.46,959.66,249.221,001.38590.33264.77446.71298.34151.32144.68425.69653.4677.41146.1845.112.552.550.5676.14215.28
Totaal passiva 24,159.1126,540.6720,458.778,698.587,064.145,109.195,436.144,471.14,620.773,693.353,211.052,488.731,737.821,632.411,755.421,166.83729.8431.84302.53408.82
Eigen vermogen:
Preferente aandelen 0012,330.750011,122.0210,166.398,831.617,607.4312,192.359,728.368,085.530000020.9120.910
Gewone aandelen 770.25764.25764.25764.25764.25791.19800800800800400400400400400358.61358.61102.44581.5289.33
Ingehouden winsten 19,346.0916,607.3630,930.5511,564.4210,087.7421,293.4718,850.416,362.4713,945.1711,655.479,707.557,865.698,005.127,071.07000-20.9100
Overige gereserveerde algehele resultaten 48,806.8224,714.8419,364.0515,627.9913,005.5610,962.649,484.018,330.867,137.74263.12379.19180.1600-1,428.08-1,572.6-946.24-749.506-783.33-350.31
Overige totale aandeelhoudersvermogen -19,346.09-41,322.2-31,694.800-22,084.66-19,650.4-17,162.47-14,745.17-12,455.47-10,107.55-8,265.69007,4184,901.83,873.353,163.7882,695.571,288.16
Totaal eigen vermogen van aandeelhouders 49,577.07764.2531,694.827,956.6623,857.5522,084.6619,650.417,162.4714,745.1712,455.4710,107.558,265.698,405.127,471.076,389.923,687.813,285.722,516.7272,014.671,027.18
Totaal eigen vermogen 49,577.07764.2531,694.827,956.6623,857.5522,084.6619,650.417,162.4714,745.1712,455.4710,107.558,265.698,405.127,471.076,389.923,687.813,285.722,516.7272,014.671,027.18
Totaal passiva en aandeelhoudersvermogen 73,736.1866,191.4554,140.9736,655.2430,921.6928,555.9926,588.6223,463.7321,065.4317,748.6415,433.8412,729.6810,142.949,103.488,145.344,854.644,015.522,948.5672,317.21,436