Tata Motors Limited

NSE:TATAMOTORS.NS

967 (INR) • At close September 19, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operationele Activiteiten:
Nettowinst 313,990.926,898.7-112,372.2-142,138-112,984.1-292,128.167,68262,234.496,872.2129,082.4131,178.689,583.2116,440.473,748.737,581.1-60,773.914,20418,157.85915,034.31113,275.1088,893.71
Afschrijvingen & Amortisatie 272,701.3248,603.6239,317.1229,638.1207,632.1230,197.8209,818.2182,405.4168,074.9134,495.8110,462.673,723.254,435.143,445.736,636.628,039.87,7806,622.8885,855.0934,930.1314,125.814
Uitgestelde Inkomstenbelasting 021,195.542,204.925,410.73,644.5-25,42538,058.535,67027,512.769,149.748,226.539,190.50000-428829.481686.213903.934,112.798
Aandelen Gebaseerde Vergoedingen 427.3300.3180.590.44784.4000000000000000
Verandering in Werkkapitaal 73,251.7-31,271.3-99,279.618,91851,125.6-63,336-58,317.633,822.213,332.8-38,047.639,607.7-6,407.52,860.1-27,510.135,046.7-2,039.314,604-8,528.102-14,619.914,275.10910,481.562
Vorderingen -18,752.9-28,3012,610.8-11,183.579,131.19,547-43,265.8-23,677.8-7,945.6-31,612.911,055.8-17,807-13,946.8-21,755.1-18,698.7-18,624.800000
Voorraden -72,652.3-56,653.64,687.437,975.123,251.820,686.4-35,604.3-66,309.4-57,341.5-36,962.9-31,763.6-30,526.4-29,083.5-27,569.9-19,173.315,048.8-968-7,586.296-4,611.889-6,052.401-82.43
Crediteuren 137,058.369,448.5-51,080.26,606.5-76,794.3-26,810.772,565.784,935.140,776.540,256.247,075.464,461.478,936.333,498.443,082.95,748.800000
Overig Werkkapitaal 27,598.6-15,765.2-55,497.6-14,480.125,537-66,758.7-52,013.238,874.337,843.4-9,72813,240.1-22,535.5-33,045.9-11,683.529,835.8-4,212.115,572-941.807-10,008.02110,327.5110,563.992
Overige Niet-Contante Posten 451,522.288,153.372,777.6158,085.9116,864.3339,514.4-17,645.736,72540,72645,467.746,465.632,99244,491.352,292.119,100.659,967.71,8721,226.941-1,274.396-550.218-30.369
Kasstroom uit Operationele Activiteiten 611,716.6353,880.1142,828.3290,005.1266,329.4188,907.5238,574.2303,107.3374,713365,401.3371,431.7222,932.8218,226.9141,976.4128,36525,194.335,46817,531.4285,681.31222,834.0627,583.515
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -314,136.3-180,956.8-151,684.2-202,054-297,020.3-353,035.2-350,789.2-306,597.6-311,602.6-301,603.1-258,813.8-185,674.2-138,744.5-82,098-81,727.3-89,689.8-42,684-25,338.055-10,752.162-7,746.724-2,642.083
Netto Overnames 41,510.5193.73,376.42,159.2-6,119.95,210.7102.4-1,069.5-143,589.8-12,258.6-10,301.9-6,216.6-67,314.8-1,776.3-426-97,264.4-881,045.492-4,464.843-187.773-1,158.351
Aankoop van Beleggingen -130,663.5-28,898.7-170,453.2-448,095.1-402,142-241,983.8-481,970.7-447,493-481,694-342,103.7-52,445.3-68,840.4-59,334.4-1,471-29,881.8-6,395.4-19,964-522.746-873.362-14,707.423-16,147.506
Verkoop/verval van Beleggingen 187,245.383,650.5253,868.6380,859.9345,358384,914.1547,243.2354,115.4416,205.1306,156.13,117.810,161.527.7135.332,700.328,307.93,6006,696.33221,272.6154,982.532143.167
Overige Investeringsactiviteiten 5,790.8-42,030.317,141.25,867.418,2227,783.323,398.218,317.1150,1805,631.722,113.514,454.262,022.310,221.63,3542,662.2-14,848-35,970.102-14,250.067-16,960.698-5,622.56
Kasstroom uit Investeringsactiviteiten -216,044-168,041.6-47,751.2-261,262.6-341,702.2-197,110.9-262,016.1-382,727.6-370,501.3-344,177.6-296,329.7-236,115.5-203,343.7-74,988.4-75,980.8-162,379.5-73,984-54,089.079-9,067.82-34,620.086-25,427.333
Financieringsactiviteiten:
Schuldaflossingen -285,848-634,175.2-459,068-352,341.1-307,298.1-351,980.2-299,638.7-217,320.9-235,859.2-285,472.2-309,465-240,947.7-192,351-216,715.3-337,213.8-140,226.200000
Uitgifte van Gewone Aandelen 818.7196185.926,025.138,887.70051.774,906.700.96.8033,567.618,484.741,099.940,684164.168672.8461,493.452,303.688
Terugkoop van Gewone Aandelen 0-2,959.2423,748419,842.5304,098.400281,67400270,479.2237,122.70-1,030.8-137.1294,101.100000
Uitgekeerde Dividenden -7,692.70-15.3-15.6-35.200-7300-6,744.2-6,822.6-14,841.8-14,648.5-10,230-3,637.7-6,766.3-6,760-5,694.042-5,155.512-1,772.926-3,032.538
Overige Financieringsactiviteiten -2,898.1371,550.21,347.75,531.1-1,756.8440,283.9319,755.8-1,621.8123,023.8322,826.7-2,440.2-677.9235,982.2151,409.3316,538-32,771.89,69644,096.4248,934.14210,275.1092,885.033
Kasstroom uit Financieringsactiviteiten -314,859.8-262,429-33,801.799,041.933,89688,303.720,117.162,053-37,928.730,610.3-48,247.7-19,337.928,982.7-42,999.2-5,965.9155,436.743,62038,566.554,451.4759,995.6332,156.182
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 465.313,869.93,314.64,537.710,556.8-14,109.213,064.1-14,101.27,822.2-14,324.616,157.32,686.711,415.63,219.2-5,782.6-6,840.1-1,352-669.633378.754152.838-563.991
Netto Kasstroomverandering 132,782.3-62,720.664,590132,322.1-30,92068,430.57,299.9-31,668.5-25,894.837,509.443,011.6-29,833.955,281.527,20840,635.711,411.43,7521,339.2661,443.722-1,637.5553,748.373
Kaspositie aan het Einde van de Periode 458,066.9318,869.5381,590.1317,000.1184,678215,598147,167.5139,867.6171,536.1197,430.9159,921.5116,118.5145,952.490,670.963,462.922,827.211,3887,668.386,327.4224,877.7296,507.593