Polyplex Corporation Limited

NSE:POLYPLEX.NS

1120.25 (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 378.37,108.211,468.6759,785.1556,401.8486,567.2443,138.9633,635.774641.628826.931-1,165.57687.0511,881.95814,152.8021,563.291,658.8051,178.133480.598576.175
Afschrijvingen & Amortisatie 3,071.32,962.82,725.2062,798.0362,533.3092,091.0391,850.1032,029.1872,096.9892,165.4441,923.41,506.6641,314.924844.851605.584546.624391.872354.105266.344
Uitgestelde Inkomstenbelasting 0000000000000000000
Aandelen Gebaseerde Vergoedingen 0000000000000000000
Verandering in Werkkapitaal 648.9-557.2-6,950.678-819.366-974.977-1,457.672-2,252.925-91.391273.341705.149-1,212.7-940.121333.24-3,635.435158.731-456.417-772.555230.852-641.569
Vorderingen -470.31,740.539-4,370.084-105.167-585.96-540.679-773.619-432.499-9.836-229.823-555.594-996.4960000000
Voorraden -120.3-736.4-4,957.99-1,337.91-173.913-1,017.713-1,308.115-262.014248.271160.024-898.883-589.99230.07-2,200.058-568.218-378.279-160.131115.904-620.286
Crediteuren 872.6-439.9451,747.153946.42846.392-321.632113.057696.11634.9060000000000
Overig Werkkapitaal 366.9-1,121.394630.243-322.717-261.496422.352-944.81170.62325.07545.125-313.817-350.129303.17-1,435.377726.949-78.138-612.424114.948-21.283
Overige Niet-Contante Posten 6,217.7-1,498.7-1,643.003-739.556-649.217-1,688.755334.39-1,188.3921,128.47762.5491,590.141-535.8281,095.29-6,457.975139.792307.754104.866145.63789.698
Kasstroom uit Operationele Activiteiten 4,455.68,015.15,600.211,024.2697,310.9635,511.8563,070.5314,385.1784,140.4353,760.0731,135.271717.7664,625.4124,904.2432,467.3972,056.766902.3161,211.192290.648
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -5,171.6-2,729-4,017.942-5,292.572-4,722.846-3,724.676-1,375.478-719.376-518.605-1,568.811-6,070.533-445.579-2,593.401-517.513-5,478.295-3,026.682-185.701-986.387-2,118.818
Netto Overnames 59.9255.2-3,423.49583.163403.621348.79198.395397.031266.2260282.178363.462534.134222.53432.68921.4519.25816.15215.592
Aankoop van Beleggingen -18,242.8-10,605.9-14,574.274-19,298.445-32,238.722-13,042.865-614.284-2,038.067-8,878-6,362.5-5,042.538-4,358.55-22,970.843-15,121.544-3,487.959-2,528.182-2,167.857-3,707.744-4,139.153
Verkoop/verval van Beleggingen 15,028.210,626.418,322.47919,033.41630,972.00313,150.279276.9531,716.789,035.2228,551.8665,108.183,875.80622,581.06821,496.7633,986.8122,185.6082,546.1273,505.4494,000.743
Overige Investeringsactiviteiten -2,273.61,3043,703.832613.0681,536.319305.859250.951498.887-109.234222.76-46.875-9,926.501-907.28129.8221,545.008515.724-2,485.7239.74-41.399
Kasstroom uit Investeringsactiviteiten -8,326.3-1,149.310.605-4,361.37-4,049.625-2,962.613-1,263.463-144.745-204.391843.315-5,769.588-10,491.362-3,356.3236,110.062-3,401.745-2,832.082-2,273.893-1,132.79-2,283.035
Financieringsactiviteiten:
Schuldaflossingen -411.7-1,510.3-1,011.924-721.756-1,564.127-2,168.018-2,371.322-4,492.38-4,162.878-3,482.629-1,556.809-1,410.658-1,593.884-2,238.05-761.036-325.165-791.275-144.789-404.375
Uitgifte van Gewone Aandelen 000-1,043.432000299.42700000000205.200
Terugkoop van Gewone Aandelen 000-266.3530000000000001,831.63600
Uitgekeerde Dividenden -252.214-3,234.88-3,347.376-4,565.728-1,655.208-1,429.588-285.344-189.099-80.181-63.892-94.898-127.594-222.725-195.252-110.981-95.306-58.377-14.855-86.922
Overige Financieringsactiviteiten -323.1-1,824.42,036.9850.873242.654482.312,239.089-4,866.846-486.8091,203.3844,757.6710,159.643790.761546.0272,107.8122,149.09615.126338.4792,231.732
Kasstroom uit Financieringsactiviteiten -1,063-6,569.6-2,322.315-6,596.396-2,976.681-3,115.296-417.577-4,756.518-4,729.868-2,343.1373,105.9638,621.391-1,025.848-1,887.2751,235.7951,728.6251,202.31178.8351,740.435
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -78.81,305.5397.039-147.092817.215309.579202.266-1,016.3451,400.139-843.5141,859.719107.4331,189.333-1,812.23958.089-219.75880.982-196.361-7.529
Netto Kasstroomverandering -2,738.1421,601.73,685.529-80.5891,101.872-256.4741,591.757-1,532.43606.3151,416.737331.365-1,044.7721,432.5747,314.791359.536733.551-88.28460.876-259.481
Kaspositie aan het Einde van de Periode 7,062.19,645.58,043.8184,358.2894,438.8783,337.0063,593.489,817.58311,350.01310,743.6989,326.9618,995.59610,040.3688,607.7941,293.003933.467199.916288.2227.324