SPML Infra Limited

NSE:SPMLINFRA.NS

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

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,280.774200.65406.867396.548202.798368.541248.0621,577.3431,401.0871,271.6911,189.176912.501860.051,185.594918.12875.359950.8521,167.6
Kortetermijnbeleggingen 1,383.0262,461.48219.529197.074380.1291,089.3171,249.184-3,931.322-3,153.2-3,765.8931-3,136.056-1,852.83200000
Liquide middelen en kortetermijnbeleggingen 3,663.82,662.132426.396593.622582.9271,457.8581,497.2461,577.3431,401.0871,271.6911,190.176912.501860.051,185.594918.12875.359950.8521,167.6
Nettovorderingen 4,457.78914,236.00214,507.19714,419.35715,088.06118,187.08818,029.63210,033.52310,980.4558,705.8975,748.0716,376.547,067.7799,150.0258,167.5288,471.6516,994.8054,421.601
Voorraad 373.833924.353902.307712.36627.373666.214773.579723.028751.21495.5473.514451.611725.998907.7711,160.051,589.6132,599.3391,119.602
Overige vlottende activa 1,848.11,269.2451.9311.9311.931719.374441.9826,991.5726,072.8745,637.2964,585.4253,600.3153,620.4573,267.6663,482.6312,454.273679.207209.639
Totaal vlottende activa 10,343.52216,978.58317,914.60317,74818,452.5921,030.53420,742.43919,325.46619,205.62616,110.38411,997.18611,340.96712,274.28414,511.05613,728.32913,390.89611,224.2036,918.442
Niet-vlottende activa:
Materiële vaste activa, netto 62.521,499.8111,539.2241,574.0771,628.6742,800.0973,055.5473,143.7983,427.3053,926.8026,438.8875,238.1793,994.893,976.6173,654.6953,189.2422,211.7341,664.209
Goodwill 351.694345.773345.773155.086154.741477.909367.92273.456266.267121.11951.8249.459000000
Immateriële activa 4.1655.0914.1812.0562.0512.072.0572.3093,695.50114.58810.4869.025239.75800000
Goodwill en immateriële activa 355.859350.864349.954157.142156.792479.979369.9774,092.9483,961.768135.70762.30658.484239.75800000
Langetermijnbeleggingen -779.258586.509649.201698.474947.4391,018.768440.2295,457.3164,576.8865,567.0371,330.2134,520.2273,294.42800000
Belastingvorderingen 1,034.421,046.1571,046.265999.502928.4671,125.99575.20964.72713.38944.22929.53523.66431.66220.7720000
Overige niet-vlottende activa 7,906.0527,464.4146,486.8396,027.6357,870.8268,500.9948,488.2422,256.9981,360.6771,263.7086,052.449727.905450.9191,226.703350.69150.782187.20422.554
Totaal niet-vlottende activa 8,579.59310,947.75510,071.4839,456.8311,532.19813,925.82812,929.20415,015.78713,340.02510,937.48313,913.3910,568.4598,011.6575,224.0924,005.3853,340.0242,398.9381,686.763
Totaal activa 18,918.11527,926.33827,986.08627,204.8329,984.78834,956.36233,671.64334,341.25332,545.65127,047.86725,910.57621,909.42620,285.94119,735.14817,733.71416,730.9213,623.1418,605.205
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,624.9394,343.1894,228.1453,863.1166,306.1329,405.8369,635.6089,676.0311,273.3688,831.995,334.6694,828.026000000
Kortlopende schulden 2,429.52411,174.87211,478.77411,932.4968,562.0867,697.4076,709.02110,004.9596,321.2726,040.2565,205.6763,912.269000000
Belastingschulden 00.0240.0240.0240.02469.08546.27126.0533.494000000000
Uitgestelde opbrengsten 616.966357.268792.429974.5192,358.612,728.5181,994.8921,390.20574.9961.51344.2630.208000000
Overige kortlopende verplichtingen 234.938271.841161.934108.406429.423519.6361,088.275353.6122,339.5433,726.2964,642.6142,625.92611,509.8126,839.4776,007.0596,769.5846,719.014,675.55
Totaal kortlopende verplichtingen 6,906.36716,147.1716,661.28216,878.53717,656.25120,351.39719,427.79621,424.80620,009.17318,660.05515,227.21911,396.42911,509.8126,839.4776,007.0596,769.5846,719.014,675.55
Langlopende verplichtingen:
Langetermijnschulden 3,060.6966,361.8616,636.2216,503.3496,743.7946,761.9537,347.9575,096.645,023.2081,886.8893,929.4643,911.7122,606.3147,353.2446,423.0325,031.0972,708.5991,821.753
Uitgestelde opbrengsten niet-vlottend 2,603.137945.306655.353451.84547.941524.83515.24764.34163.38952.07738.48535.506000000
Uitgestelde belastingverplichtingen niet-vlottend 177.1637,341.236767.7267,101.0747,770.21401.4975.04611.02221.51534.73542.70390.597104.401130.176168.355165.544131.156
Overige niet-vlottende verplichtingen 1,535.868-6,359.3030.001-6,503.349-6,734.9311,268.419623.5771,838.6531,661.629973.928961.072655.219189.604808.943725.423720.09530.316439.776
Totaal niet-vlottende verplichtingen 7,376.8648,289.18,059.3017,552.9148,327.0188,555.2028,488.2787,004.686,759.2482,934.4094,963.7564,645.142,886.5158,266.5887,278.6315,919.5423,404.4592,392.685
Totaal passiva 14,283.23124,436.2724,720.58324,431.45125,983.26928,906.59927,916.07428,429.48626,768.42121,594.46420,190.97516,041.56914,396.32715,106.06513,285.6912,689.12610,123.4697,068.235
Eigen vermogen:
Preferente aandelen 0177.747340.49303,171.7060000000000000
Gewone aandelen 106.699.4987.49581.94581.94581.94581.94581.94581.94581.94581.94581.94581.94581.94581.94581.94581.94570.957
Ingehouden winsten 31.869274.073234.814231.5951,403.3161,330.0462,116.4482,193.662,152.5532,139.442,213.3822,338.163000000
Overige gereserveerde algehele resultaten 2,286.415584.261584.261740-2,587.444-2,523.128833.679-2,291.584-2,300.736-2,121.622-1,865.022-1,626.368-1,386.633-1,177.166-1,149.656-1,038.391-837.191-671.009
Overige totale aandeelhoudersvermogen 2,177.9052,289.1221,951.4831,566.9781,773.6385,312.4551,617.1444,590.8054,748.0624,619.1294,154.9183,927.8056,010.8684,915.3614,790.3124,278.153,724.6021,697.246
Totaal eigen vermogen van aandeelhouders 4,602.7893,424.6933,198.5462,620.5183,843.1614,201.3184,649.2164,574.8264,681.8244,718.8924,585.2234,721.5454,706.183,820.143,722.6013,321.7042,969.3561,097.194
Totaal eigen vermogen 4,634.8843,490.0683,265.5032,773.3794,001.5196,049.7635,755.5695,911.7675,777.235,453.3135,719.6015,867.8575,889.6144,629.0834,448.0244,041.7943,499.6721,536.97
Totaal passiva en aandeelhoudersvermogen 18,918.11527,926.33827,986.08627,204.8329,984.78834,956.36233,671.64334,341.25332,545.65127,047.77725,910.57621,909.42620,285.94119,735.14817,733.71416,730.9213,623.1418,605.205