Punjab & Sind Bank

NSE:PSB.NS

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

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 73,830.162,967.290,474.542116,574.984125,557.84466,182.236106,906.62673,874.66578,806.40942,195.07363,248.37540,792.10743,154.18348,964.70547,553.26628,404.38729,398.87326,476.513
Kortetermijnbeleggingen 0-59,018.807-86,185.692-102,790.451-121,616.7160000000000000
Liquide middelen en kortetermijnbeleggingen 73,830.13,948.3934,288.8513,784.5333,941.12866,182.236106,906.62673,874.66578,806.40942,195.07363,248.37540,792.10743,154.18348,964.70547,553.26628,404.38729,398.87326,476.513
Nettovorderingen 18,360.89116,528.16312,359.2039,787.1989,818.7869,717.24710,717.3878,477.5848,555.9559,414.5119,933.4928,830.105000000
Voorraad -92,190.991-91,671.889-86,063.292-107,760.776-143,332.23-100,337.648-114,664.03-79,245.209-56,008.393000000000
Overige vlottende activa 73,830.175,143.72673,704.08997,973.578133,513.444100,337.648114,664.0379,245.20956,008.393000000000
Totaal vlottende activa 73,830.13,948.3934,288.8513,784.5333,941.12875,899.483117,624.01382,352.24987,362.36451,609.58473,181.86749,622.21243,154.18348,964.70547,553.26628,404.38729,398.87326,476.513
Niet-vlottende activa:
Materiële vaste activa, netto 17,557.815,194.215,774.43515,849.11912,408.27312,303.84510,825.98510,954.28711,334.3989,948.28410,027.158,441.2818,083.8388,162.4915,389.0695,557.635,689.6342,530.05
Goodwill 000000000000000000
Immateriële activa 000000000000000000
Goodwill en immateriële activa -17,077.04-19,271.276-22,587.5-24,024.6-18,422.6262,077.823334,075.257288,213.60000000000
Langetermijnbeleggingen 495,991.6448,384.2417,702.139320,227.734245,520.958261,729.278329,817.572279,485.019276,450.374267,516.965282,941.14225,424.808200,641.305186,436.512178,868.385126,274.2984,736.32966,930.827
Belastingvorderingen 17,077.0419,271.27622,587.524,024.618,422.611,955.36,568.32,225.7060000000000
Overige niet-vlottende activa 889,185.8-448,384.172-417,702.139-320,227.734-245,520.958-274,033.123-340,643.557-290,439.306-287,784.772-277,465.249-292,968.29-233,866.089-208,725.143-194,599.003-184,257.454-131,831.92-90,425.963-69,460.877
Totaal niet-vlottende activa 1,402,735.215,194.22815,774.43515,849.11912,408.273274,033.123340,643.557290,439.306287,784.772277,465.249292,968.29233,866.089208,725.143194,599.003184,257.454131,831.9290,425.96369,460.877
Totaal activa 1,476,565.31,364,545.21,210,675.4641,104,818.8531,005,038.071,089,820.4581,137,592.423966,434.3711,025,814.186977,534.036945,091.547804,779.033729,052.651685,501.412566,648.788413,637.869309,491.964219,630.333
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 10,317.0518,113.8736,876.6157,362.1988,756.40610,197.90810,380.6188,357.3939,209.8716,779.1867,868.2516,354.27406,470.6114,507.1823,901.5953,587.0393,135.623
Kortlopende schulden 74,350.15371,274.87310,829.600010,729.49114,311.6972,463.064000000000
Belastingschulden 000000000000000000
Uitgestelde opbrengsten -10,317.051-63,161-3,952.985000-348.873-5,954.3046,746.807000000000
Overige kortlopende verplichtingen 396,419.532-8,113.873-6,876.615-7,362.198-8,756.406-10,197.908-10,380.618-8,357.393-9,209.871-6,779.186-7,868.251-6,354.2740-6,470.611-4,507.182-3,901.595-3,587.039-3,135.623
Totaal kortlopende verplichtingen 470,769.6858,113.8736,876.6157,362.1988,756.40610,197.90810,380.6188,357.3939,209.8716,779.1867,868.2516,354.27406,470.6114,507.1823,901.5953,587.0393,135.623
Langlopende verplichtingen:
Langetermijnschulden 97,708.690,183.824,436.32526,435.527,720.527,14029,329.84929,584.37720,440.13628,532.315,250.42319,400.50733,823.28228,858.87537,010.51434,464.7633,567.1765,900.756
Uitgestelde opbrengsten niet-vlottend -874.7-828.823,532.27325,570.677-919.918-824.547-634.981-519.8-2,007.552000000000
Uitgestelde belastingverplichtingen niet-vlottend 874.7828.8904.052864.823919.918824.547634.981519.82,007.552000000000
Overige niet-vlottende verplichtingen 1,223,522.40.032-24,436.325-26,435.54,4102,243.3062,039.6912,317.3972,463.0642,305.9271,671.2542,382.557000000
Totaal niet-vlottende verplichtingen 1,321,23190,183.83224,436.32526,435.532,130.529,383.30631,369.5431,901.77422,903.230,838.22716,921.67721,783.06433,823.28228,858.87537,010.51434,464.7633,567.1765,900.756
Totaal passiva 1,321,2311,213,460.11,070,569.5711,021,188.712949,074.0961,032,806.4351,075,765.573905,009.682966,112.008921,572.285894,978.667758,738.018686,563.172647,467.565540,492.745392,234.454288,558.831205,573.502
Eigen vermogen:
Preferente aandelen 000074,759.655000002,0002,000000000
Gewone aandelen 67,777.967,777.967,777.86440,526.687,010.5315,649.1235,649.1234,004.114,004.114,004.112,752.8422,540.2124,342.084,230.563,830.563,830.567,430.567,430.56
Ingehouden winsten 13,945.57513,563.6896,260.282-35,775.467-7,492.3253,231.0639,869.87818,572.74818,127.7716,791.86916,355.1215,430.797000000
Overige gereserveerde algehele resultaten 87,556.438,423.73134,747.96230,527.837-4,219.33328,758.294-4,430.24-3,820.015-3,149.302-3,267.47-2,386.82-2,430.361000000
Overige totale aandeelhoudersvermogen -13,945.57531,319.7831,319.78548,351.091-14,094.55419,375.54350,738.08942,667.84640,719.638,433.24231,391.73828,500.36738,147.39933,803.28722,325.48317,572.85513,502.5736,626.271
Totaal eigen vermogen van aandeelhouders 155,334.3151,085.1140,105.89383,630.14155,963.97457,014.02361,826.8561,424.68959,702.17855,961.75150,112.8846,041.01542,489.47938,033.84726,156.04321,403.41520,933.13314,056.831
Totaal eigen vermogen 155,334.3151,085.1140,105.89383,630.14155,963.97457,014.02361,826.8561,424.68959,702.17855,961.75150,112.8846,041.01542,489.47938,033.84726,156.04321,403.41520,933.13314,056.831
Totaal passiva en aandeelhoudersvermogen 1,476,565.31,364,545.21,210,675.4641,104,818.8531,005,038.071,089,820.4581,137,592.423966,434.3711,025,814.186977,534.036945,091.547804,779.033729,052.651685,501.412566,648.788413,637.869309,491.964219,630.333