Tilaknagar Industries Ltd.

NSE:TI.NS

310.3 (INR) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 417.988348.143427.401259.405184.155501.701668.36355.96101.62331.61184.58250.17198.07166.48265.6848.06320.891
Kortetermijnbeleggingen 9.908391.401446.60432.94922.5460.5031,012.6738.21234.399.72251.23321.263,274.092,958.892,151.32790.278475.766
Liquide middelen en kortetermijnbeleggingen 427.896739.544874.005292.354206.695562.2041,681.03655.96101.62341.33184.58250.173,472.163,125.372,417838.34496.657
Nettovorderingen 4,185.4773,388.1172,367.661,811.0182,433.7522,412.7241,734.6935,799.366,423.617,233.427,013.246,015.61,291.34000550.495
Voorraad 1,008.3291,162.093723.19720.761600.964977.958799.798769.351,016.821,261.951,325.581,331.541,302.93813.32843.26591.514214.458
Overige vlottende activa 263.56224.892233.213375.882302.9123,281.5062,549.0720.50.571.050.860.321.25966.36819.953654.0150
Totaal vlottende activa 5,885.2625,514.8074,200.2873,391.2823,732.5394,821.6685,029.9066,625.177,542.628,837.758,524.267,597.636,067.684,905.054,080.2142,083.871,261.609
Niet-vlottende activa:
Materiële vaste activa, netto 3,961.6474,198.1995,391.5355,683.0916,016.7026,421.5036,728.8146,381.786,771.987,752.737,494.726,168.245,064.614,535.473,699.1171,748.6311,215.42
Goodwill 00000232.623232.623232.62232.62254.28254.28254.28254.2885.7538.9238.923.837
Immateriële activa 4.5043.1223.3743.64.0414.48345.82790.76136183.36252.2657.8186.1892.516.9588.6976.958
Goodwill en immateriële activa 4.5043.1223.3743.64.041237.106278.45323.38368.62437.64506.54312.09340.46178.2645.87747.61710.794
Langetermijnbeleggingen 372.94223.694173.72834.37729.036-20.085-1,011.20711.17511.157.5519.97634.606-3,210.71-2,956.02-2,148.443-789.932-451.55
Belastingvorderingen 0310.951363.884294.231,018.33.322011.2911.29127.19-19.976-34.6063,274.0900790.2780
Overige niet-vlottende activa 110.04864.5910.001708.617-0.0041,347.0341,794.423119.845574.340.69120.63115.34-1.72,958.892,151.320.052475.766
Totaal niet-vlottende activa 4,449.1414,600.5575,932.5226,723.9157,068.0757,988.887,790.486,847.477,737.388,325.88,121.896,595.675,466.754,716.63,747.8721,796.6461,250.43
Totaal activa 10,334.40310,115.36410,132.80910,115.19710,800.61412,810.54812,820.38613,472.6415,28017,163.5516,646.1514,193.311,534.439,621.657,828.0853,880.5162,512.039
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,206.6611,291.5351,713.0621,480.4371,552.661,946.5661,606.9351,611.521,654.731,537.86732.91990491.58327.77491.747518.084380.816
Kortlopende schulden 565.1652,293.9252,041.1061,219.496886.8111,107.677,703.4967,056.256,588.996,138.326,062.194,510.813,670.840000
Belastingschulden 0000.0620.0620.1398.724125.035130.100000000
Uitgestelde opbrengsten 6.409633.131509.3051,088.989999.87808.7242,127.08-125.74-53.5-519.03-15.62329.070000
Overige kortlopende verplichtingen 778.033122.431129.052127.628113.3961,172.5233,687.89914.551,176.61693.31,208.17492.56535.31701.07655.313623.533330.855
Totaal kortlopende verplichtingen 2,556.2684,341.0224,392.5253,916.553,552.74414,226.75913,007.05410,809.49,294.598,315.987,484.245,977.755,026.81,028.841,147.061,141.617711.671
Langlopende verplichtingen:
Langetermijnschulden 631.03261.443,810.6844,590.5624,899.2691.3151.1621,901.422,259.832,111.822,256.232,111.81,145.554,333.054,534.7051,251.317576.803
Uitgestelde opbrengsten niet-vlottend 00401.8061,816.6472,045.5441,415.9831,080.708497.94675.79827.57678.35451.948.230000
Uitgestelde belastingverplichtingen niet-vlottend 0047.40343.343.83400462.21462.21462.21384.24330.46280.81199.11119.54762.35934.022
Overige niet-vlottende verplichtingen 608.2292,537.138145.25305.322432.95138.67631.85431.9929.8523.7814.328.44321.890000
Totaal niet-vlottende verplichtingen 1,239.2592,798.5784,405.1436,755.8317,421.5981,455.9741,113.7242,893.563,427.683,425.383,333.142,902.641,756.484,532.164,654.2521,313.676610.825
Totaal passiva 3,795.5277,139.68,797.66810,672.38110,974.34215,682.73314,120.77813,702.9612,722.2711,741.3610,817.388,880.396,783.285,5615,801.3132,455.2931,322.496
Eigen vermogen:
Preferente aandelen 00003,090.128000000000000
Gewone aandelen 1,927.3041,853.41,586.2181,254.3461,251.3381,251.3381,247.5611,247.561,247.561,247.561,237.71,218.81,200.021,152.57323.1139.49457.251
Ingehouden winsten -743.936-1,826.281-3,551.428-3,999.362-3,611.882-6,307.773-4,710.905-4,241.91-1,473.231,344.211,789.461,324.29832.050000
Overige gereserveerde algehele resultaten 4,611.572311.012330.39192.789-2,947.127-2,619.695-2,297.25-1,972.56-1,673.56-1,356.46-1,088.6-845.52-604.41-412.59-272.268-170.86-103.702
Overige totale aandeelhoudersvermogen 743.9362,637.6332,969.9611,995.0432,043.8154,803.9454,460.2024,736.594,456.964,186.883,890.173,615.263,323.463,320.671,975.9411,456.5881,235.995
Totaal eigen vermogen van aandeelhouders 6,538.8762,975.7641,335.141-557.184-173.728-2,872.185-1,300.392-230.322,557.735,422.195,828.735,312.834,751.124,060.652,026.7731,425.2221,189.543
Totaal eigen vermogen 6,538.8762,975.7641,335.141-557.184-173.728-2,872.185-1,300.392-230.322,557.735,422.195,828.775,312.914,751.154,060.652,026.7731,425.2221,189.543
Totaal passiva en aandeelhoudersvermogen 10,334.40310,115.36410,132.80910,115.19710,800.61412,810.54812,820.38613,472.6415,28017,163.5516,646.1514,193.311,534.439,621.657,828.0853,880.5162,512.039