Titan Company Limited

NSE:TITAN.NS

3186.25 (INR) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 15,2602,3202,1901,810754.94,295.34,720.56,780972.81,719.97,912.84311,205.1939,670.94811,082.7431,972.968563.954553.885510.335386.261445.618274.471
Kortetermijnbeleggingen 16,66034,7605,15029,7703,2305,815.67494,092.82500.0370000000000
Liquide middelen en kortetermijnbeleggingen 31,92037,0807,34031,5803,984.910,110.95,469.510,872.8997.81,719.97,912.84311,205.1939,670.94811,082.7431,972.968563.954553.885510.335386.261445.618274.471
Nettovorderingen 12,9908,27030,91016,02016,059.915,043.811,022.47,626.55,726.45,861.95,521.833,497.4022,911.120947.3481,060.38992.957974.34901.356771.1661,481.617
Voorraad 190,510165,840136,09084,08081,029.870,388.259,248.449,257.444,53540,49338,693.94836,803.29628,820.19519,981.16813,454.18512,048.38510,439.6676,792.6473,763.7062,733.9651,641.191
Overige vlottende activa 20,66012,880200290128.4330.1269.8187.8421.1399.5344.844305.105327.7763,401.1831,860.2211,149.9381,048.67677.1251,595.7782,199.5462,603.629
Totaal vlottende activa 256,080224,070174,540131,970101,20395,87376,010.167,944.551,680.348,474.352,473.46551,810.99641,730.03934,465.09418,234.72214,822.65713,035.1798,954.4476,647.1016,150.2956,000.908
Niet-vlottende activa:
Materiële vaste activa, netto 33,68027,61022,60021,50022,316.412,112.611,450.59,9648,770.47,440.76,333.7624,883.8543,879.0112,942.9522,640.7742,530.832,349.92,135.7822,006.7011,791.1771,773.627
Goodwill 1,2301,2301,2301,2301,230.11,230.11,230.11,230.10000000000000
Immateriële activa 3,1402,5702,4502,5602,7302,401.12,264.42,107.3187102.3137.254172.79800160.34463.988527.259581.144000
Goodwill en immateriële activa 4,3703,8003,6803,7903,960.13,631.23,494.53,337.4187102.3137.254172.798208.713135.023160.34463.988527.259581.144000
Langetermijnbeleggingen 15,4003,5102,790190440-5,342.4-313.7-3,6704.63130.929.06424.38700000000
Belastingvorderingen 1,8701,5801,8701,0501,590741.8360.635.9239.3196.793.49878.14634.97700.0850.929126.118171.39971.59660.34829.022
Overige niet-vlottende activa 4,1009,6606,4606,0205,988.410,136.34,240.16,814.22,772.62,437.92,045.5071,857.8941,281.72425.82315.95115.95123.444316.363280.427256.565262.99
Totaal niet-vlottende activa 59,42046,16037,40032,55034,294.921,279.519,23216,481.511,973.910,208.68,640.9217,021.7565,428.8123,103.7982,817.153,011.6983,026.7213,204.6882,358.7242,108.092,065.639
Totaal activa 315,500270,230211,940164,520135,497.9117,152.595,242.184,42663,654.258,682.961,114.38658,832.75247,158.85137,568.89221,051.87217,834.35516,061.912,159.1359,005.8258,258.3858,066.547
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 14,10012,14012,9407,8905,967.19,059.88,777.428,423.417,462.319,396.38,594.38620,979.92817,529.16807,238.3966,966.1756,590.9944,608.1092,945.6562,500.0231,583.515
Kortlopende schulden 101,94077,60061,36045,70024,877.423,613.116,9111.11,130.5997.98,068.42360.344000000000
Belastingschulden 6207308201,180285280.5390.3590.9475.4345.1394.455333.545000000000
Uitgestelde opbrengsten 6207,73012,2109,2008,052.46,877.215,455.310,453.98,094.25,736.517,792.90216,844.415000000000
Overige kortlopende verplichtingen 48,63035,17018,61014,35017,368.615,069.22,010.11,746.1973.2805.6685.18598.50914,253.80226,511.6095,710.923,435.7072,531.8451,350.148686.155464.876374.222
Totaal kortlopende verplichtingen 165,290132,640105,12077,14056,265.554,619.343,153.840,624.527,660.226,936.335,140.89138,483.19631,782.9726,511.60912,949.31610,401.8829,122.8395,958.2573,631.8112,964.8991,957.737
Langlopende verplichtingen:
Langetermijnschulden 33,02016,07011,40010,68010,732.6316.700000058.889680.212729.9111,665.7932,102.7932,477.5882,693.6933,194.9244,070.108
Uitgestelde opbrengsten niet-vlottend 20,3202,4402,0201,5901,876.40000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 3030608061.954.131.73.34.23.35.5490020.8853.51188.034378.273352.18314.665359.362380.426
Overige niet-vlottende verplichtingen 2,910101010-1701,320.11,1761,210.81,089.8904.6740.523651.033707.802000000-0.0010
Totaal niet-vlottende verplichtingen 56,28018,55013,49012,36012,500.91,690.91,207.71,214.11,094907.9746.072651.033766.691701.092783.4211,853.8272,481.0662,829.7683,008.3583,554.2854,450.534
Totaal passiva 221,570151,190118,61089,50068,766.456,310.244,361.541,838.628,754.227,844.235,886.96339,134.22932,549.66127,212.70113,732.73712,255.70911,603.9058,788.0256,640.1696,519.1846,408.271
Eigen vermogen:
Preferente aandelen 0000101,946.60000000000000000
Gewone aandelen 890890890890887.8887.8887.8887.8887.8887.8887.786887.786887.786443.893443.893443.893443.893443.893822.763822.763822.763
Ingehouden winsten 64,19086,12060,28042,10035,912.727,589.717,919.611,896.89,669.710,339.19,370.238,359.00104,420.99902,168.2572,174.1621,401.267810.21774.263687.82
Overige gereserveerde algehele resultaten 93,04030,08030,45030,570-4,599.6-3,334.8-2,137.2-1,220.1-5,830.1-5,205.4-4,583.928-4,166.674-3,776.119-3,473.164-3,223.727-3,090.175-2,818.18-2,663.279-2,497.093-2,403.044-2,201.151
Overige totale aandeelhoudersvermogen -64,1901,4201,4101,410-67,46035,558.834,228.530,759.330,172.624,817.219,553.33514,618.4117,497.5238,964.46310,098.9696,056.6714,658.124,189.2293,229.7762,545.2192,348.844
Totaal eigen vermogen van aandeelhouders 93,930118,51093,03074,97066,687.560,701.550,898.742,323.834,90030,838.725,227.42319,698.52314,609.1910,356.1917,319.1355,578.6464,457.9953,371.112,365.6561,739.2011,658.276
Totaal eigen vermogen 93,930119,04093,33075,02066,731.560,842.350,880.542,587.434,90030,838.725,227.42319,698.52314,609.1910,356.1917,319.1355,578.6464,457.9953,371.112,365.6561,739.2011,658.276
Totaal passiva en aandeelhoudersvermogen 315,500270,230211,940164,520135,497.9117,152.595,24284,42663,654.258,682.961,114.38658,832.75247,158.85137,568.89221,051.87217,834.35516,061.912,159.1359,005.8258,258.3858,066.547