Shilpa Medicare Limited

NSE:SHILPAMED.NS

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

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 304.355213.182338.291,228.456443.143342.715736.409959.494157.132182.89990.648302.02520.618871.99626.28738.069145.746
Kortetermijnbeleggingen 30.60531.72724.613424.43332.29333.2181,217.7832,292.936530.599666.18103.26502.816680.217232.839192.413110.23289.604
Liquide middelen en kortetermijnbeleggingen 304.355244.909338.291,652.889475.436375.9331,954.1923,252.43687.731849.079193.908804.841700.8351,104.835218.701148.301235.351
Nettovorderingen 3,920.4553,316.373,981.1463,250.7243,186.052,463.8192,877.7862,186.1491,118.7521,120.386910.97417.8790401.208000
Voorraad 3,449.2813,198.213,552.3843,168.3742,264.3361,876.6941,887.0611,897.9891,625.0651,307.8291,232.517743.324673.202433.315504.343320.909324.994
Overige vlottende activa 1,094.164920.6191,000.1231,108.5493,468.0163,198.9620.3390.001-0.0010.001-0.003571.715504.6380348.94237.008192.225
Totaal vlottende activa 8,768.2557,680.1088,871.9439,180.5366,207.7885,451.5896,719.3787,336.5693,431.5473,277.2952,337.3922,119.881,878.6751,939.3591,071.984706.218752.57
Niet-vlottende activa:
Materiële vaste activa, netto 15,961.94515,374.87714,913.78513,308.23410,913.3138,410.4786,372.5915,546.45,498.4922,934.682,786.5391,740.5032,187.9651,459.3861,479.1041,448.763999.46
Goodwill 462.308455.267457.187441.978370.008367.526368.88298.173231.223176.576130.50852.34651.8129.34528.10131.31225.699
Immateriële activa 4,612.0944,406.4773,986.5833,130.3332,138.4951,514.0971,003.896110.9011,021.5722,265.5191,137.4191,305.3690.5810.681.1121.51612.04
Goodwill en immateriële activa 5,074.4024,861.7444,443.773,572.3112,508.5031,881.6231,372.778209.0741,252.7952,442.0951,267.9271,357.71552.39130.02529.21332.82837.738
Langetermijnbeleggingen 462.695426.582342.286212.181104.51122.545-974.665-1,972.216-528.174-664.281-101.205-501.404-679.07-196.352-165.396-93.551-74.386
Belastingvorderingen 102.61462.58183.203-285.16613,398.662335.0021,826.03749.139964.6691,054.044485.557794.98888.175232.839192.413110.2320
Overige niet-vlottende activa 562.134617.935-0.003387.45-13,271.484-0.002-0.0022,589.2470.0571.6212.0282.534-0.0010.5330.560.98889.604
Totaal niet-vlottende activa 22,163.7921,343.71819,883.04117,195.0113,653.50510,649.6468,596.7396,421.6447,187.8395,768.1594,440.8463,394.3282,449.461,526.4311,535.8951,499.261,052.417
Totaal activa 30,932.04529,023.82628,754.98426,375.54619,861.29316,101.23515,316.11713,758.21210,619.3869,045.4546,778.2385,514.2084,328.1353,465.7912,607.8792,205.4781,804.987
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,748.2421,444.1391,460.446721.464894.589825.8391,104.731,112.089866.667628.432849431.94496.635301.602415.586240.424171.328
Kortlopende schulden 3,759.5665,072.6853,285.5313,636.1712,248.6061,129.4261,229.338984.9711,239.086862.785509.489610.955555.8410000
Belastingschulden 0130.252125.54796.193157.67866.96058.62336.8429.79829.42920.93319.5415.4527.1530.6341.723
Uitgestelde opbrengsten 80.51,042.8191,344.9451,648.525923.788568.871229.42264.049332.021345.962241.622187.258152.210000
Overige kortlopende verplichtingen 1,345.174269.48924.4415.4410.4411.29103.5081.23460.36259.19168.2337.5396.696241.85272.683145.974115.939
Totaal kortlopende verplichtingen 6,933.4827,829.1326,115.3626,021.64,077.4232,535.4262,666.9962,362.3432,498.1361,896.371,668.3441,237.6921,211.382543.452688.268386.398287.267
Langlopende verplichtingen:
Langetermijnschulden 5,601.5992,906.2033,547.3544,823.1381,671.149810.956681.1841,411.998975.3821,023.29674.757704.65550.749573.872772.6631,124.299882.821
Uitgestelde opbrengsten niet-vlottend 0174.765192.66178.001216.674147.509231.494228.066170.503111.77199.28371.1800000
Uitgestelde belastingverplichtingen niet-vlottend 0140.508547.375472.824419.845476.732918.176617.563358.699377.692259.387209.221188.264147.191134.197108.09474.875
Overige niet-vlottende verplichtingen 397.396229.653240.763205.017261.688230.97320.180.001-0.00123.05211.8720.00163.4170000
Totaal niet-vlottende verplichtingen 5,998.9953,451.1294,528.1525,678.982,569.3561,666.171,851.0342,257.6281,504.5831,535.8051,045.299985.057302.43721.063906.861,232.392957.696
Totaal passiva 12,932.47711,280.26110,643.51411,700.586,646.7794,201.5964,518.034,619.9714,002.7193,432.1752,713.6432,222.7491,513.8121,264.5161,595.1281,618.791,244.964
Eigen vermogen:
Preferente aandelen 000016,996.69115,320.14400000000000
Gewone aandelen 86.80286.80286.80281.52781.52781.52781.52780.12777.10277.10273.57249.04849.04848.04844.04844.04834.715
Ingehouden winsten 10,337.95610,011.80410,432.0499,915.1068,429.9787,074.8455,946.8145,011.1313,981.6813,037.5972,398.3561,748.0041,370.3010000
Overige gereserveerde algehele resultaten 411.792483.773452.707502.764-3,184.796-2,826.043-2,510.818-2,081.69-1,911.689-1,584.663-1,519.29-1,186.814-1,032.518-913.168-729.709-662.462-551.494
Overige totale aandeelhoudersvermogen 7,250.3917,250.3917,250.394,287.269-9,029.773-7,674.647,332.8086,152.7294,321.9363,939.3753,011.8222,594.0072,378.9183,051.6551,698.4071,205.0961,076.789
Totaal eigen vermogen van aandeelhouders 18,086.94117,832.7718,221.94814,786.66613,293.62711,975.83310,850.3319,162.2976,469.035,469.4113,964.463,204.2452,765.7492,186.5351,012.746586.682560.009
Totaal eigen vermogen 17,999.56917,743.56518,111.4714,674.96613,214.51411,899.63910,798.0879,138.2416,616.6675,613.2794,064.5953,291.4592,814.3232,201.2751,012.751586.688560.023
Totaal passiva en aandeelhoudersvermogen 30,932.04529,023.82628,754.98426,375.54619,861.29316,101.23515,316.11713,758.21210,619.3869,045.4546,778.2385,514.2084,328.1353,465.7912,607.8792,205.4781,804.987