Redington (India) Limited

NSE:REDINGTON.NS

312.35 (INR) • At close July 3, 2025
Overview | Financials

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

202520242023202220212020201920182017201620152014201320122011201020092008200720062005
Operationele Activiteiten:
Nettowinst 16,048.412,186.214,393.913,148.77,8855,339.24,844.74,844.24,767.45,940.9485,554.6224,851.1394,624.1034,503.2813,510.0422,759.1712,190.1771,770.581,272.459923.586423.846
Afschrijvingen & Amortisatie 2,175.81,8111,5541,412.81,4821,554633.6569.4546.8468.154425.869385.04378.696310.307245.581234.315127.37299.782132.83449.3537.231
Uitgestelde Inkomstenbelasting 00001,280.400188.80000000000000
Aandelen Gebaseerde Vergoedingen 000018.4107.6167.147.60000000000000
Verandering in Werkkapitaal -29,952.7-5,624.5-51,367.1-6,244.323,339.1-553.92,517.1-5,323.56,740.8-7,931.91-4,125.997-3,277.137-2,543.179-2,596.442-4,513.051-2,832.933-3,603.854-2,770.421-2,611.739-2,662.51-2,029.819
Vorderingen -34,589.8-19,738.6-29,492.6-14,599.5237.2-4,491.4-572.9-9,776.91,840.4-7,954.42-4,230.739-7,430.151-7,159.8960000000-1,151.039
Voorraden 3,673.94,399.1-24,394.8-12,966.36,901.44,057.2-6,535.62,789.83,589.8-8,040.32-5,156.879-2,144.431-2,531.728-1,167.213-3,815.144-2,034.921-605.689-708.28-1,665.599-2,830.82-729.258
Crediteuren 08,924.92,085.823,389.112,009.21,011.910,082.52,431.63,102.48,464.8380000000000-149.522
Overig Werkkapitaal 963.2790.1434.5-2,067.64,191.3-1,131.6-456.9-768-1,791.8-402.0085,261.6216,297.4457,148.445-1,429.229-697.907-798.012-2,998.165-2,062.141-946.14168.310
Overige Niet-Contante Posten 14,654.72,421.33,0841,574.89643,209.62,521.91,529.71,549.7101.36713.815454.145-812.301367.05648.693-50.003289.34313.076378.204144.52317.522
Kasstroom uit Operationele Activiteiten 2,926.210,794-32,335.29,89234,968.99,656.510,684.41,856.213,604.7-1,421.4482,568.3092,413.1871,647.3192,584.202-708.735110.55-996.965-586.983-828.242-1,545.051-1,551.22
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,631.7-1,036.5-1,570.2-1,177.5-330.4-471.5-308.1-389-558.3-438.911-505.615-568.698-1,552.309-521.211-564.4-348.704-276.027-369.97-315.567-136.82-54.929
Netto Overnames 6,499.200.2-1,850249.1-100-495.5-75.8-76-342.860-74.1960-5,955.291-1,816.3460-1.078-27.474030.852.193
Aankoop van Beleggingen -1580-335.20-5,385-664.4-444.5-1,131.9-1820-84,417.5-68,285.4230000-1.0780-100-0.371-0.403
Verkoop/verval van Beleggingen 01,199.93,0192,029.118.7743.2409.51,147.3137084,442.25871,162.014000000100.12900
Overige Investeringsactiviteiten 6,961.41,288.7641.8433.2479.4-82.7-105.4258.9-74600.959425.423370.7852,179.665-1,929.70118.263-185.616144.891122.81654.49330.1210
Kasstroom uit Investeringsactiviteiten 5,598.61,452.11,755.6-565.2-4,968.2-575.4-944-190.5-753.3-180.812-55.4342,604.482627.356-8,406.203-2,362.483-534.32-133.292-274.628-260.945-76.22-53.139
Financieringsactiviteiten:
Schuldaflossingen -1,266-3,378.423,936.365.6-20,024.611,144.8-1,876.9715.8-7,818.94,819.498-1,183.444-3,005.031167.3594,705.6223,154.881,656.0891,990.3081,826.8271,228.6982,489.513648.148
Uitgifte van Gewone Aandelen 00.40.23.20.20.52.425.72.88.03811.2929.43615.4259.10782.562116.9223,440.21301,551.994221.51790.915
Terugkoop van Gewone Aandelen 000000-1,39000000000000000
Uitgekeerde Dividenden -4,847-5,628.1-5,157.7-4,530.70-3,529.7-1,131.4-1,074.6-1,941.4-899.791-411.2-159.696-161.009-502.52-456.033-367.145-318.691-227.607000
Overige Financieringsactiviteiten -5,598-4,802.6-3,492.4-299.2-2,386.1-3,183-2,111-1,657.1-1,549.7-1,911.368-665.153-2,074.034-1,619.642-1,444.992-718.918-561.581-833.729-711.34-583.52-367.6430
Kasstroom uit Financieringsactiviteiten -11,711-13,808.715,286.4-4,761.1-22,410.54,432.6-6,506.9-1,990.2-11,307.22,016.377-2,248.505-5,229.325-1,597.8722,817.2171,979.929844.2854,278.101887.882,197.1722,343.381,439.063
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -133.2-1,079.5671-1,104.5-1,130.61,118.26.7-55.9-103.9296.141158.626335.567127.887955.505-68.535-1,007.7371,045.412-222.663-79.94132.9210
Netto Kasstroomverandering -3,319.4-2,642.1-14,622.23,461.26,459.614,631.93,240.2-380.4713.988-556.866422.996142.5961,962.525-2,050.136-1,159.824-587.2224,194.334-174.8661,028.044755.040
Kaspositie aan het Einde van de Periode 12,130.115,449.518,091.632,713.829,252.622,7938,161.14,920.95,301.34,587.3125,144.1784,721.1824,578.5862,616.0614,666.3075,436.6436,023.8651,819.531,994.396966.35198.027