Pfizer Limited

NSE:PFIZER.NS

5286.85 (INR) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 20,467.1366627.61,570.317,637.9738.1507.3675.85410,024.0065,939.8222,932.4314,285.5728,620.4325,739.8625,274.0455,436.4834,799.1263,069.4432,101.5031,613.872
Kortetermijnbeleggingen 19,477.318,458.715,472.99,4104,31018,18017,211.314,32043.2570000.503,720.9162,479.6480666.731660.822699.092
Liquide middelen en kortetermijnbeleggingen 20,467.118,824.716,100.510,980.321,947.918,918.117,718.614,995.85410,067.2635,939.8222,932.4314,285.5728,620.9325,739.8628,994.9617,916.1314,799.1263,736.1742,762.3252,312.964
Nettovorderingen 1,876.11,834.83,358.22,424.73,306.93,494.62,969.92,388.8232,574.3572,667.5112,380.8942,055.9272,785.144,352.837643.918603.1071,967.134700.963835.431724.271
Voorraad 4,336.94,1774,4894,350.54,305.93,866.62,970.63,219.0343,606.83,879.0141,514.961,651.5051,832.3761,593.2351,133.7111,249.877958.458993.105907.128750.121
Overige vlottende activa 698414.417.11,491.6618.34,3823,478185.15150.03446.49223.99550.86169.57529.248.206144.94181.71142.2521.35513.664
Totaal vlottende activa 27,378.125,250.923,964.819,247.130,482.527,166.724,167.220,788.86216,298.45412,532.8396,852.27918,043.86513,308.02311,715.13410,820.7969,914.0567,806.4295,472.4924,526.2393,801.02
Niet-vlottende activa:
Materiële vaste activa, netto 1,513.51,854.62,200.71,951.42,152.8714.3825.4986.0721,015.973876.516231.797252.133313.738366.503932.849830.594704.072715.584777.016756.431
Goodwill 5,274.95,274.95,274.95,274.95,274.95,274.95,274.95,274.865,310.3495,737.5490000000000
Immateriële activa 342.7442.3945.51,448.71,9992,549.43,076.12,563.22,295.5912,954.9110000000000
Goodwill en immateriële activa 5,617.65,717.26,220.46,723.67,273.97,824.38,3517,838.067,605.948,692.46-0.025-0.02500000666.731660.822699.092
Langetermijnbeleggingen 142.8074.84,344.82,930.4641338.6-14,319.975-43.2320.0250.0250.02500-3,715.891-2,474.6230-666.695-660.786-699.056
Belastingvorderingen 539.4976.7469.8134.66.2-641761.517,061.225755.093671.39341.925398.767370.848355.386275.02226.715129.792143.60990.30163.536
Overige niet-vlottende activa 7,096.46,207.96,074.6257.51,208.23,694.62,455.9352.0253,504.8523,342.2421,817.4721,900.2361,771.941,425.5023,720.9162,479.64834.325133.354367.039600.722
Totaal niet-vlottende activa 14,909.714,756.415,040.313,411.913,571.512,233.212,732.411,917.40712,838.62613,582.6332,391.1942,551.1362,456.5262,147.3911,212.8941,062.334868.189992.5831,234.3921,420.725
Totaal activa 42,287.840,007.339,005.132,65944,05439,399.936,899.632,706.26929,137.0826,115.4729,243.47320,595.00115,764.54913,862.52512,033.6910,976.398,674.6186,465.0755,760.6315,221.745
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,662.32,170.62,639.42,837.44,267.84,359.2106.832.29530.42420.12915.1698.6220.90617.4361,162.4631,081.75701,376.2041,199.756996.094
Kortlopende schulden 401.9411.5392.5632.3392.525252521.70600000000000
Belastingschulden 1,600.51,607.81,694.6460460967.1905896.15960.02700000000000
Uitgestelde opbrengsten 1,600.534.814.32,026.31,893.3967.17,051.51,544.4963.92900000000000
Overige kortlopende verplichtingen 1,800.93,956.65,482.72,247.42,1803,565.62,361.16,267.8436,577.6276,043.562,487.6733,500.5132,438.3871,864.865927.901883.7092,177.417691.31801.327710.325
Totaal kortlopende verplichtingen 5,465.66,573.58,528.97,743.48,733.68,916.99,544.47,869.5387,593.6866,063.6892,502.8423,509.1332,459.2931,882.3012,090.3641,965.4662,177.4172,067.5142,001.0831,706.419
Langlopende verplichtingen:
Langetermijnschulden 543.5933.21,277.4426.8886.80025.02225.02225.022000000000120
Uitgestelde opbrengsten niet-vlottend 00-102.500000-1,173.64900000000000
Uitgestelde belastingverplichtingen niet-vlottend 00102.50022.3145.8175.6431,173.64900000000000
Overige niet-vlottende verplichtingen 323.3427.6554.7558.4478.7347.3377.4447.251338.443296.643156.506141.655258.285345.753000000
Totaal niet-vlottende verplichtingen 866.81,360.81,832.1985.21,365.5369.6523.2647.916363.465321.665156.506141.655258.285345.75300000120
Totaal passiva 6,332.47,934.310,3618,728.610,099.19,286.510,067.68,517.4547,957.1516,385.3542,659.3483,650.7882,717.5782,228.0542,090.3641,965.4662,177.4172,067.5142,001.0831,826.419
Eigen vermogen:
Preferente aandelen 00000000000000000000
Gewone aandelen 457.5457.5457.5457.5457.5457.5457.5457.495457.495457.495298.432298.432298.432298.432298.432298.432298.432298.432298.432287.993
Ingehouden winsten 18,283.814,600.511,334.76,810.316,930.813,080.49,892.97,393.3884,851.4823,046.7413,038.71113,619.65600004,509.623000
Overige gereserveerde algehele resultaten 35,497.93,808.33,645.23,455.93,359.9-600.4-445.6-307.515-629.249-1,267.987-946.509-899.878-848.777-802.409-951.669-889.831-812.929-980.304-944.301-869.064
Overige totale aandeelhoudersvermogen -18,283.813,206.713,206.713,206.713,206.717,175.916,927.216,645.44716,500.20117,493.8694,193.4913,926.00313,597.31612,138.44810,596.5639,602.3232,502.0755,079.4334,405.4173,976.397
Totaal eigen vermogen van aandeelhouders 35,955.432,07328,644.123,930.433,954.930,113.426,83224,188.81521,179.92919,730.1186,584.12516,944.21313,046.97111,634.4719,943.3269,010.9246,497.2014,397.5613,759.5483,395.326
Totaal eigen vermogen 35,955.432,07328,644.123,930.433,954.930,113.426,83224,188.81521,179.92919,730.1186,584.12516,944.21313,046.97111,634.4719,943.3269,010.9246,497.2014,397.5613,759.5483,395.326
Totaal passiva en aandeelhoudersvermogen 42,287.840,007.339,005.132,65944,05439,399.936,899.632,706.26929,137.0826,115.4729,243.47320,595.00115,764.54913,862.52512,033.6910,976.398,674.6186,465.0755,760.6315,221.745