Ramco Industries Limited

NSE:RAMCOIND.NS

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 870.1386.7714.239643.289624.675629.477328.36551.665645.077367.393397.604220.898317.569228.504324.933245.804274.017152.217162.17984.657
Kortetermijnbeleggingen 436.9364.584.74918.7-11.516-6.6351.61452.273-17,494.7080000713.692513.535406.011354.529322.609203.82184.842
Liquide middelen en kortetermijnbeleggingen 870.1751.2798.988643.289624.675629.477328.36603.938645.077367.393397.604220.898317.569942.196838.468651.816628.545474.826365.999269.499
Nettovorderingen 1,035.21,0252,053.6892,244.3691,897.8692,208.9321,880.1861,152.5721,138.2531,105.902919.5021,112.631594.0890000000
Voorraad 6,102.26,011.74,156.713,738.7753,571.5442,867.8582,845.0913,418.5712,935.9242,902.3342,447.7453,337.2471,690.3261,258.3531,418.1191,278.854743.716664.805732.455402.765
Overige vlottende activa 186.6324.36.47112.73711.53216.01420.317323.38148.141323.148301.86206.706672.75402.357367.188368.695328.806300.968260.331211.501
Totaal vlottende activa 8,194.18,112.27,015.8586,639.176,105.625,722.2815,073.9545,498.4614,867.3954,698.7774,066.7114,877.4823,274.7342,602.9062,623.7752,299.3651,701.0671,440.5991,358.785883.765
Niet-vlottende activa:
Materiële vaste activa, netto 5,682.75,723.45,374.4035,039.4214,813.6574,397.414,275.0144,293.4064,287.3654,157.5224,216.1993,997.8263,149.5182,557.7472,564.4432,496.6472,614.2392,132.1642,167.9271,195.284
Goodwill 0.034-0.03000000000-0.5100000000
Immateriële activa 22.56627.7339.86536.49357.50475.06160.21654.61615.6495.08713.00716.94922.8920000000
Goodwill en immateriële activa 22.627.739.86536.49357.50475.06160.21654.61615.6495.08713.00716.43922.8920000000
Langetermijnbeleggingen 31,830.630,29930,402.428,155.47126,026.80724,778.47123,719.12322,647.01421,351.1692,614.1121,976.0831,975.76101,312.4751,462.2251,569.7491,474.3881,553.8181,497.4081,314.495
Belastingvorderingen 54.707470.2311.00299.779460.195-24,778.471-23,719.123121.898374.407-2,614.112-1,976.083-1,975.76100000000
Overige niet-vlottende activa -32.70719.271.937-331.47824,866.41623,744.22219.131-17,727.0032,783.1492,178.4772,341.6122,189.532713.692513.535406.011354.823323.015-264.105188.514
Totaal niet-vlottende activa 37,557.936,539.536,199.5733,368.16431,026.68529,338.88728,079.45227,136.0658,301.5876,945.7586,407.6836,355.8775,361.9424,583.9144,540.2034,472.4074,443.4494,008.9963,401.232,698.294
Totaal activa 45,75244,651.743,215.42840,007.33437,132.30535,061.16833,153.40632,634.52613,168.98211,644.53510,474.39411,233.3598,636.6767,186.827,163.9786,771.7726,144.5175,449.5954,760.0153,582.059
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 295.8239708.659811.657676.113482.268493.269620.02721.473412.338321.16917.68447.04270.376317.213463.118292.215197.034304.914170.323
Kortlopende schulden 2,303.12,773.12,093.6041,291.0712,121.2161,618.1391,568.3262,716.0821,745.1472,071.5241,736.7131,084.222586.80000000
Belastingschulden 449.534171.24138.633138.27471.96107.493132.538217.234000000000000
Uitgestelde opbrengsten 229.671,441.61,569.4511,883.6731,717.5591,609.71,327.2051,050.025.16172.11630.996205.536343.9840000000
Overige kortlopende verplichtingen 1,598.53460423.9460.70.5061.1691.17285.6551,154.8461,454.934957.6541,242.686948.09554.912545.13346.258248.119273.789164.826178.266
Totaal kortlopende verplichtingen 4,427.14,913.74,795.6144,447.1014,515.3943,711.2763,389.974,671.7773,626.6274,010.9123,046.5233,450.1242,325.914825.288862.344809.376540.334470.823469.74348.589
Langlopende verplichtingen:
Langetermijnschulden 112.5306.4169.045257.458257.376256.092557.044645.2491,360.4021,129.5461,830.281,842.3741,186.5962,383.5222,476.9152,610.0142,644.2982,255.1322,245.1641,081.121
Uitgestelde opbrengsten niet-vlottend 8.89.810.7911.57412.74313.91315.08316.25349.37734.10236.96943.71535.9560000000
Uitgestelde belastingverplichtingen niet-vlottend 573.3560.1651.392451.47231.371558.173336.41141.14445.776119.305132.401215.234236.51240.856272.03304.208335.331297.875292.401206.576
Overige niet-vlottende verplichtingen 12.521.60021.367000255.625239.615210.531410.795157.72400000-469.740
Totaal niet-vlottende verplichtingen 707.1897.9831.227720.502522.857828.178908.537802.6461,711.181,522.5682,210.1812,512.1181,616.7862,624.3782,748.9452,914.2222,979.632,553.0062,067.8251,287.696
Totaal passiva 5,134.25,811.65,626.8415,167.6035,038.2514,539.4544,298.5075,474.4235,337.8075,533.485,256.7045,962.2423,942.73,449.6663,611.2893,723.5983,519.9643,023.8292,537.5651,636.286
Eigen vermogen:
Preferente aandelen 00000000000000000000
Gewone aandelen 86.886.886.66386.66386.66386.66386.66386.66386.66386.66386.66386.68486.68486.66386.66343.33243.33243.33243.33243.332
Ingehouden winsten 17,335.27816,466.36914,986.80112,118.8389,608.2688,078.6756,548.4784,909.1823,378.6171,654.0015,131.027883.4864,445.2683,650.4913,466.0273,004.8432,581.2222,382.4342,179.1181,902.442
Overige gereserveerde algehele resultaten 23,125.4422,225.5622,494.1722,613.277-4,694.665-4,472.703-4,281.823-4,155.831-3,946.756-3,794.736-7,106.385-3,111.156-2,749.429-2,277.911-2,162.757-1,868.81-1,546.132-1,248.818-971.593-783.473
Overige totale aandeelhoudersvermogen 61.48261.37120.95320.95327,093.78826,829.07926,501.58126,320.0898,312.6518,165.1277,106.3857,412.1032,911.4532,277.9112,162.7571,868.811,546.1321,248.818971.593783.473
Totaal eigen vermogen van aandeelhouders 40,60938,840.137,588.58734,839.73132,094.05430,521.71428,854.89927,160.1037,831.1756,111.0555,217.695,271.1174,693.9763,737.1543,552.693,048.1742,624.5532,425.7662,222.451,945.773
Totaal eigen vermogen 40,60938,840.137,588.58734,839.73132,094.05430,521.71428,854.89927,160.1037,831.1756,111.0555,217.695,271.1174,693.9763,737.1543,552.693,048.1742,624.5532,425.7662,222.451,945.773
Totaal passiva en aandeelhoudersvermogen 45,75244,651.743,215.42840,007.33437,132.30535,061.16833,153.40632,634.52613,168.98211,644.53510,474.39411,233.3598,636.6767,186.827,163.9786,771.7726,144.5175,449.5954,760.0153,582.059