Rallis India Limited

NSE:RALLIS.NS

319.15 (INR) • At close November 12, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 270441.6106.529102.68465.173418.499289.26152.32733.00222.17340.112234.058112.07145.745118.96681.85784.198228.957140.075133.909
Kortetermijnbeleggingen 0.92,268.42,619.1363,254.0833,044.6691,108.48971.1272,228.763945564.21210.38429.6141,154.222886.167773.574793.689761.92900
Liquide middelen en kortetermijnbeleggingen 2,8502,7102,725.6653,356.7633,509.8421,526.9791,260.3882,281.09127.00277.173104.324244.442141.6841,299.9671,005.133855.431877.887990.886140.075133.909
Nettovorderingen 6,644.55,564.0715,498.7965,067.5165,337.1414,490.6943,996.733,023.2312,645.1592,477.4881,678.7161,647.7411,323.1981,406.9521,025.8361,468.4391,327.6131,307.9961,171.6131,258.977
Voorraad 8,0807,928.99,379.9197,631.9816,992.0026,735.5355,721.8283,943.7564,048.3893,942.0443,295.3282,671.7942,717.2192,289.1981,488.6951,492.5081,476.9621,235.171,433.211,203.863
Overige vlottende activa 516.25,811.21,008.0371,144.996871.0871,092.6521,165.534549.964462.446304.994324.681,976.4981,503.965823.612629.977476.303492.653348.036185.595101.127
Totaal vlottende activa 17,802.916,443.617,939.49816,554.04916,142.3514,131.9912,392.2529,545.1056,592.4616,851.1925,555.1394,892.7344,348.1894,665.5073,263.4743,519.1073,381.4263,155.0792,930.4932,697.876
Niet-vlottende activa:
Materiële vaste activa, netto 8,070.27,295.76,195.6785,299.1194,159.7793,826.4673,763.783,636.6064,186.1023,905.584,019.2023,902.5913,961.3793,928.6412,632.6841,819.3191,461.5311,408.7481,615.0251,767.163
Goodwill 1,958.21,958.21,958.2311,958.2311,958.2311,958.2311,958.2311,958.2312,591.411,958.2311,859.4931,676.41501,236.277000000
Immateriële activa 650.3690.8852.893696.059566.074475.123432.026412.179392.646354.705373.606320.175080.21115.07557.26917.211000
Goodwill en immateriële activa 2,608.52,6492,811.1242,654.292,524.3052,433.3542,390.2572,370.412,984.0562,312.9362,233.0991,996.591,808.091,316.48815.07557.26917.21132.36737.76351.404
Langetermijnbeleggingen 199.183.22155.44138.81345.06441.883-927.359-2,041.75792.93131.93122.718176.546167.7-898.253516.13587.959-238.606-444.668494.8420
Belastingvorderingen -126.611,533.6511,604.28983.421,613.283217.17207.814236.498284.195014.6815.184938.989053.477101.58132.28122.15233.60
Overige niet-vlottende activa 1,353.8-10,027.972-25.663356.50.0011,192.4292,159.1723,538.619906.4411,156.4321,041.593928.1022.0911,154.222886.167844.825800.964783.27954.356105.215
Totaal niet-vlottende activa 12,231.611,533.610,640.869,332.1428,342.4327,711.3037,593.6647,740.3768,453.7247,506.8787,431.2937,009.0136,878.2495,501.0984,103.5333,410.9522,173.381,901.8782,235.5861,923.782
Totaal activa 30,343.127,977.228,580.35825,886.19124,484.78221,843.29319,985.91617,285.48115,046.18514,358.0712,986.43211,901.74711,226.43810,166.6057,367.0076,930.0595,554.8065,056.9575,166.0794,621.658
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5,998.35,882.57,525.3155,960.6836,373.4165,348.165,260.8743,286.0372,736.9782,882.4623,050.6752,502.8142,470.52,678.3412,058.91,655.0271,062.2951,079.59900
Kortlopende schulden 207.81,130.4672.98462.741668.566570.34647.557-594.475-672.192984.955-381.6371,206.498649.824430.91000000
Belastingschulden 2032.55975.05126.43739.04440.60359.39583.16484.259123.93361.04744.40200000000
Uitgestelde opbrengsten 2,1301,670.12,555.052,707.9582,448.7162,210.0881,877.2591,717.0731,758.4741,395.635787.4861,128.174445.584594.17000000
Overige kortlopende verplichtingen 2,211.31,172.441500.35-13.135-20.736537.8081,119.185989.291401.561,271.702678.2111,135.6711,397.428782.242982.42952.897948.3141,511.7472,253.4881,774.719
Totaal kortlopende verplichtingen 10,183.29,88810,766.6479,144.6849,509.0068,142.0477,245.5675,194.6125,151.0165,263.0524,930.3244,889.3854,517.7523,891.4933,041.322,607.9242,010.6092,591.3462,253.4881,774.719
Langlopende verplichtingen:
Langetermijnschulden 1,129.2236.6247.911293.366267.5300.714198.778243.993265.883268.07261.194107.356855.8031,172.13681.12557.432466.235347.9131,156.491,385.31
Uitgestelde opbrengsten niet-vlottend 410415.10.6790.830.982282.9380000058.821176.7270000000
Uitgestelde belastingverplichtingen niet-vlottend 10122.9213.349263.806284.939381.621405.261498.242387.689356.595330.101286.413130.84632.298000000
Overige niet-vlottende verplichtingen 1,125.6552385.235268.65158.545522.84243.409730.928601.515255.786180.205650.7140.64600767.3140000
Totaal niet-vlottende verplichtingen 1,556.4788.6847.174826.652874.39823.556823.55974.921867.398849.047771.5758.071,164.0221,204.43481.125824.746466.235347.9131,156.491,385.31
Totaal passiva 12,048.210,676.611,613.8219,971.33610,383.3968,965.6038,069.1176,169.5336,018.4146,112.0995,701.8245,647.4555,681.7745,095.9273,122.4453,432.672,476.8442,939.2593,409.9783,160.029
Eigen vermogen:
Preferente aandelen 000018,039.0816,076.09700000000000000
Gewone aandelen 190194.5194.471194.471194.471194.471194.471194.471194.471194.471194.471194.471194.471194.471129.648999.848999.848999.848999.848999.848
Ingehouden winsten 13,662.914,439.08813,187.95112,130.3510,317.7279,082.2358,128.4117,333.2645,203.14,483.9913,664.2352,837.95100000666.811333.21481.266
Overige gereserveerde algehele resultaten 18,1002,702.3682,704.7272,703.786-2,179.558-1,451.834-1,110.922-722.138-2,717.224-2,405.662-2,051.965-1,766.683-1,725.037-1,580.828-1,418.065-1,687.44-1,538.515-1,396.231-1,133.187-1,088.439
Overige totale aandeelhoudersvermogen -11,928.41,729.6879.388879.393,582.333879.388879.39879.388879.388879.3883,321.2893,174.9282,921.7074,854.7454,114.9144,184.9813,616.6291,847.271,556.2261,468.954
Totaal eigen vermogen van aandeelhouders 18,294.917,300.616,966.53715,907.99514,094.53112,859.27211,905.73611,111.6428,990.2978,145.1687,179.9956,207.355,530.185,049.2164,244.5623,497.3893,077.9622,117.6981,756.1011,461.629
Totaal eigen vermogen 18,294.917,300.616,966.53715,914.85514,101.38612,877.6911,916.79911,115.9489,027.7718,245.9717,284.6086,254.2925,544.6645,070.6784,244.5623,497.3893,077.9622,117.6981,756.1011,461.629
Totaal passiva en aandeelhoudersvermogen 30,03027,977.228,580.35825,886.19124,484.78221,843.29319,985.91617,285.48115,046.18514,358.0712,986.43211,901.74711,226.43810,166.6057,367.0076,930.0595,554.8065,056.9575,166.0794,621.658