Power Finance Corporation Limited

NSE:PFC.NS

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

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

2024 Q12023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q32021 Q22021 Q12020 Q42020 Q32020 Q22020 Q12019 Q42019 Q22019 Q12018 Q42018 Q12012 Q42012 Q32012 Q2
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 033,885.691,377114,242.7041,010.2075,581.5052,890.6087,042.5071,890.8100,348.243,172.6037,662.343,031.40163,314.4049,574.749,574.77,146.4
Kortetermijnbeleggingen 015,862.34,083.248,338.30-39,734.3000-43,748.20007,267.900000000000
Liquide middelen en kortetermijnbeleggingen 033,885.691,377114,242.701,275.9075,581.509,142.4087,042.5071,890.8100,348.243,172.6037,662.343,031.40163,314.4049,574.749,574.77,146.4
Nettovorderingen 01,918.7387,607.11,752.101,711.701,178.70360,317.701,334.70371,355.5359,859.5339,925.20271,155.6231,975.10233,414.50000
Voorraad 00412,120.2419,075.401,676,4770004,705074,143.60000000000000
Overige vlottende activa 0-35,804.3-412,120.2-419,075.40-1,678,188.70-76,760.20-365,022.70-75,478.30000000000000
Totaal vlottende activa 033,885.6478,984.1115,994.801,275.9075,581.509,142.4087,042.50443,246.3460,207.7383,097.80308,817.9275,006.50396,728.9049,574.749,574.77,146.4
Niet-vlottende activa:
Materiële vaste activa, netto 07,918.77,819.57,84007,912.907,751.507,681.307,048.606,705.96,339.25,934.705,164.84,786.603,833.90711.6711.6724.4
Goodwill 0000000000000000000000000
Immateriële activa 0117.4118.5119.50128.7028.9044.1059.1071.678.985.70100117.90107.7037.937.935.9
Goodwill en immateriële activa 0117.4118.5119.50128.7028.9044.1059.1071.678.985.70100117.90107.7037.937.935.9
Langetermijnbeleggingen 0578,007.1247,345531,549.50495,904.90477,799.50125,841.40393,825.9073,287.196,275.496,660.3098,062.379,764.6072,9030000
Belastingvorderingen 060,559.568,16265,321.30-487,863.30-470,019.10-118,1160-386,718.2069,833.500000000000
Overige niet-vlottende activa 0-646,602.7-68,162-65,321.30-8,041.60-7,780.40-7,725.40-7,107.70-69,833.5-102,693.5-102,680.70-103,327.1-84,669.10-76,844.601,648,931.8-749.5-760.3
Totaal niet-vlottende activa 010,354,888.2255,283539,50908,041.607,780.407,725.407,107.7080,064.6102,693.5102,680.70103,327.184,669.1076,844.601,649,681.3749.5760.3
Totaal activa 010,388,773.810,086,312.89,750,724.208,961,118.608,112,400.507,910,002.707,921,105.607,757,070.87,566,546.77,457,345.606,945,206.56,481,552.206,289,935.201,699,2561,699,2561,460,711
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 01,137.2720.1349.90508.60349.20497.503900704.3327.4383.10532.25870749.10000
Kortlopende schulden 01,418,662.20001,426,584.20001,013,505.20001,193,056.300000000000
Belastingschulden 0828.2633.55,242.801,333.406,063.402,191.506,997.601,406.82,0656,551.70674001,3070000
Uitgestelde opbrengsten 0-1,417,525000-1,426,075.6000-1,013,007.7000-1,192,35200000000000
Overige kortlopende verplichtingen 0-1,137.2-720.1-349.90-508.60-349.20-497.50-3900-704.3-327.4-383.10-532.2-5870-749.10000
Totaal kortlopende verplichtingen 01,137.2720.1349.90508.60349.20497.503900704.3327.4383.10532.25870749.1048,974.148,974.10
Langlopende verplichtingen:
Langetermijnschulden 08,619,610.68,438,879.48,140,647.107,511,575.206,748,470.106,899,717.506,680,773.806,892,6246,736,012.36,652,435.106,234,7895,769,669.405,625,923.301,214,464.71,214,464.71,058,648.7
Uitgestelde opbrengsten niet-vlottend 0-6,585.4000-6,724.6000-5,439.50006,887,400.800000000000
Uitgestelde belastingverplichtingen niet-vlottend 06,585.40006,724.60005,439.50005,223.200000000000
Overige niet-vlottende verplichtingen 0426,277.8-8,438,879.4-8,140,647.10-75,618.90-6,748,470.10-307,8650-6,680,773.80-6,892,624-6,736,012.3-6,652,435.10-6,234,789-5,769,669.40-5,625,923.30194,240.3-1,214,464.7-1,058,648.7
Totaal niet-vlottende verplichtingen 09,045,888.48,438,879.48,140,647.107,435,956.306,748,470.106,591,852.506,680,773.806,892,6246,736,012.36,652,435.106,234,7895,769,669.405,625,923.301,408,7051,214,464.71,058,648.7
Totaal passiva 09,045,888.48,807,907.58,513,694.707,841,305.807,089,598.606,947,251.207,017,997.506,939,168.36,769,491.66,701,390.506,283,552.85,799,512.705,655,092.501,457,679.11,457,679.11,058,648.7
Eigen vermogen:
Preferente aandelen 0000000000000000000000000
Gewone aandelen 033,00133,00133,001026,400.8026,400.8026,400.8026,400.8026,400.826,400.826,400.8026,400.826,400.8026,400.8013,199.313,199.313,200.1
Ingehouden winsten 0234,133.3226,264.5220,271.60182,362.8000127,57100097,605.2106,742.8102,157.5080,801.8591,518.1090,295.60184,683.2184,683.2172,340.8
Overige gereserveerde algehele resultaten 1,011,467.7978,466.7677,482.1650,189.8841,584.9596,752.60738,656.1716,762.4523,253.2672,503.6646,102.8607,674.865,938.2-1,042-1,042.9493,998-1,049.8-16.7471,212.5-919.4398,345.32,749.400
Overige totale aandeelhoudersvermogen 331,417.7-234,133.329,464.829,468.5278,227.936,068.700245,989.139,537.4230,604.50210,227.7417,730.6465,649436,172.5167,655.7387,845.2-111,608.4163,630.2355,435.5154,352.240,94543,694.4-185,540.9
Totaal eigen vermogen van aandeelhouders 1,342,885.41,011,467.7966,212.4932,930.91,119,812.8841,584.91,022,801.9765,056.9962,751.5716,762.4903,108.1672,503.6817,902.5607,674.8597,750.6563,687.9661,653.7493,998506,293.8634,842.7471,212.5552,697.5241,576.9241,576.9185,540.9
Totaal eigen vermogen 1,342,885.41,342,885.41,278,405.31,237,029.51,119,812.81,119,812.81,022,801.91,022,801.9962,751.5962,751.5903,108.1903,108.1817,902.5817,902.5797,055.1755,955.1661,653.7661,653.7682,039.5634,842.7634,842.7552,697.5241,576.9241,576.9185,540.9
Totaal passiva en aandeelhoudersvermogen 1,342,885.410,388,773.810,086,312.89,750,724.21,119,812.88,961,118.608,112,400.5962,751.57,910,002.7903,108.17,921,105.6817,902.57,757,070.87,566,546.77,457,345.6661,653.76,945,206.56,481,552.2634,842.76,289,935.2552,697.51,699,25600