RattanIndia Power Limited

NSE:RTNPOWER.NS

14.07 (INR) • At close November 4, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,616.71,790.2789.106713.527129.242212.9281,278.4293,101.6072,866.5662,536.4522,948.9164,725.3534,177.5793,480.9687,514.83611,955.078
Kortetermijnbeleggingen 3,477.6672.540.2333.3922,748.4521,930.883100.7022,671.518-3,316.09707,706.702-26,999.3532,235000
Liquide middelen en kortetermijnbeleggingen 4,616.72,462.7829.339716.9192,877.6942,143.8111,379.1315,773.1252,866.5662,536.45210,655.6184,725.3536,412.5793,480.9687,514.83611,955.078
Nettovorderingen 20,642.624,944.79125,112.18622,540.97816,795.81117,036.64825,350.38,086.99617,516.60110,409.6451,056.3017,057.7430000
Voorraad 2,380.91,360.41,366.4032,774.0096,539.8854,418.5921,529.952833.7612,696.515835.13223.582152.7070000
Overige vlottende activa 989.22,364.11,600.31,673.1585,926.6910.0890.0898,992.3125,161.139976.468995.417299.725156.69578.44661.426128.885
Totaal vlottende activa 28,629.431,106.830,840.40829,493.86829,975.75923,599.1428,259.47223,686.19428,240.82214,757.69512,930.91912,235.52812,844.50617,680.48921,839.2221,959.054
Niet-vlottende activa:
Materiële vaste activa, netto 64,786.8141,603.4145,229.623155,691.881159,937.965169,458.924172,933.955171,306.367137,574.274133,059.979113,793.2792,079.01661,444.25630,123.3746,241.8771,563.964
Goodwill 0000003.1233.1233.1233.1233.1233.12303.1232.2932.293
Immateriële activa 2.32.72.4140.5281.3453.0114.64812.77427.176912.109933.944953.6910512.0964.6950.78
Goodwill en immateriële activa 2.32.72.4140.5281.3453.0117.77115.897896.257915.233937.068956.815891.518515.2196.9883.073
Langetermijnbeleggingen 2,020.1663.087179.671968.324-2,623.3941,081.6912,498.431466.9423,423.5970-7,504.20227,201.853-2,032.513,260.75611,960.3560
Belastingvorderingen -0248.613331.6850.0650.0650.0650.065167.76711,709.786079.141107.35444.55421.40712.6030.036
Overige niet-vlottende activa 218.194-0.001-0.0013,660.28264.005-0.00116,430.80525,362.42938,108.13754,023.72920,779.93637,522.0354,127.1591,138.347501.924
Totaal niet-vlottende activa 67,027.3142,611.8145,743.392156,660.797160,976.261170,807.695185,440.221188,387.778178,966.342172,083.348161,329.006141,124.97497,869.86348,047.91419,360.1712,068.997
Totaal activa 95,656.7173,718.6176,583.8186,154.665190,952.02194,406.835213,699.693212,073.972207,207.164186,841.043174,259.926153,360.502110,714.36965,728.40341,199.39124,028.05
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,624.22,827.44,564.5634,515.2075,948.8245,964.8686,360.034532.2942,815.056920.317434.819968.8441,175.1349,508.83669.44625.626
Kortlopende schulden 4,473.484,403.5114,011.82182,156.74862,161.22480,134.11753,680.81734,535.5929,651.653,227.0031,195.155250.55293.4000
Belastingschulden 000000044.7249.8620000000
Uitgestelde opbrengsten 096,402.22,536.2782,576.25,150.6564,607.727,790.9176,806.211346.225347.11144.83410.346265.552000
Overige kortlopende verplichtingen 6,460.3569.4570.611.535-0.00120.635186.245101.85818,568.85521,352.35613,399.78334,346.47429,509.533,646.23222.72597.977
Totaal kortlopende verplichtingen 12,557.9184,202.5121,683.26289,259.6973,260.70390,727.3468,018.01341,975.95531,381.78625,846.78715,074.59135,576.21331,243.61613,155.067292.171123.603
Langlopende verplichtingen:
Langetermijnschulden 30,993.825,774.378,847.939100,257.404107,634.278107,694.281117,291.667125,928.685120,431.061106,014.5100,968.77856,834.8919,626.17410,342.4952,006.4442.208
Uitgestelde opbrengsten niet-vlottend -10,650.3551.17113.6810.710.708324.208323.7083131,042.386740.875363.897408.374259.98000
Uitgestelde belastingverplichtingen niet-vlottend 10,650.355203.7-6,618.187-86,014.979-5,105.541-5,241.983-3,408.105354.038277.61868.650.9470.1739.351000
Overige niet-vlottende verplichtingen 8,466.28,866.1299,275.188,931.48310,892.428,521.5496,471.5572,793.214,081.5723,186.7344,110.2196,440.10615,474.576000
Totaal niet-vlottende verplichtingen 39,46034,845.381,518.532103,184.608113,431.865111,298.055120,678.827129,388.933125,832.637110,010.759105,443.84163,683.54335,370.08110,342.4952,006.4442.208
Totaal passiva 52,017.9219,047.8203,201.794192,444.298186,692.568202,025.395188,696.84171,364.888157,214.423135,857.546120,518.43299,259.75766,613.69723,497.5622,298.615125.811
Eigen vermogen:
Preferente aandelen 31,192.97400019,600.56700009,451.2182,807.92200000
Gewone aandelen 53,701.153,701.153,701.05953,701.05949,397.81729,529.33429,454.33428,454.33429,529.33429,529.33426,427.326,427.322,273.22920,229.32720,212.9658,295
Ingehouden winsten -31,192.974-123,254.068-104,547.806-84,181.272-69,330.623-68,206.822-35,054.944-18,524.691-11,360.545-9,451.218-2,807.922-1,795.222449.8601,347.946968.571
Overige gereserveerde algehele resultaten -10,062.35,511.2645,516.2975,516.69-19,600.579-15,693.418-11,619.047-7,638.362-5,130.031-2,703.381-783.5114,374.707-64.612-31.475-8.187-1.233
Overige totale aandeelhoudersvermogen -018,712.50418,712.45618,712.45624,228.29446,786.89142,203.66438,396.04336,935.50424,138.71828,079.15325,077.68721,428.70922,025.48417,340.62214,636.479
Totaal eigen vermogen van aandeelhouders 43,638.8-45,329.2-26,617.994-6,251.0674,295.476-7,584.01524,984.00740,687.32449,974.26250,964.67153,722.94254,084.47144,087.18642,223.33638,893.34723,898.817
Totaal eigen vermogen 43,638.8-45,329.2-26,617.994-6,289.6334,259.452-7,618.5625,002.85340,709.08449,992.74150,983.49753,741.49454,100.74544,100.67242,230.84138,900.77623,902.24
Totaal passiva en aandeelhoudersvermogen 95,656.7173,718.6176,583.8186,154.665190,952.02194,406.835213,699.693212,073.972207,207.164186,841.043174,259.926153,360.502110,714.36965,728.40341,199.39124,028.05