UltraTech Cement Limited

NSE:ULTRACEMCO.NS

11043.3 (INR) • At close November 8, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operationele Activiteiten:
Nettowinst 70,05074,162.583,64478,576.452,42335,383.733,014.738,720.631,806.629,856.328,57638,672.133,45417,476.215,978.113,678.215,152.911,753.42,859.6211
Afschrijvingen & Amortisatie 31,45328,879.927,147.527,002.327,021.621,39818,479.313,484.113,683.512,034.211,39010,233.79,629.18,129.83,913.33,257.52,396.22,286.62,305.82,485.2
Uitgestelde Inkomstenbelasting 0-14,343.7-21,056.4-17,808.3-13,529.5-9,990.7-11,898-13,143.9-9,780.2-4,536.4-9,362.9-9,714.4-10,399.3-5,465.2-3,801-2,016.8-4,815.2000
Aandelen Gebaseerde Vergoedingen 430.6355.8240.2121.1167.99678.554.553.848.926.83.68.38.63.49.17.7000
Verandering in Werkkapitaal -4,810.5-3,369.5-4,730.223,289.14,502.7-9,374.3-12,476.65,175.84,238-993.5803.2-4,809.4-932-1,970.6-794.7-1,301.9673.7733.9243.9-508
Vorderingen -4,209.6-7,523.3-4,952.6-2,014.84,726.8-2,792.6-4,5401,558.1-2,869.2-272.2-2,560.6-2,867.400000000
Voorraden -17,115.3-9,919.1-15,789.61,653.8-689.1-2,416.1-6,226.2539.43,337.1-3,255.5-396.8-3,427.1-1,044.5-1,018.7-1,214.3-859-1,784.6-544-533.1-594.5
Crediteuren 19,59018,68620,76928,702.92,794.37,658.43,461.54,818.83,101.400000000000
Overig Werkkapitaal -3,075.6-4,613.1-4,757-5,052.8-2,329.3-11,824-6,250.44,636.4900.92,2621,200-1,382.3112.5-951.9419.6-442.92,458.31,277.977786.5
Overige Niet-Contante Posten 70,003.25,000.17,587.313,848.918,434.514,08611,676.35,643.54,977.95,492.33,185.61,993.12,1601,804631.8851.2393.5-3,566.32321,276.1
Kasstroom uit Operationele Activiteiten 102,054.890,685.192,832.4125,029.589,020.251,598.738,874.249,934.644,979.641,901.834,618.736,378.733,920.119,982.815,930.914,477.313,808.811,207.65,641.33,464.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -90,055.9-62,001.1-56,134.1-19,248.7-17,062-16,606.7-20,965-13,860.6-21,172.1-27,216.4-23,213.3-33,856.9-34,034.2-12,719.2-2,753.8-8,515.9-17,991.3-7,660.3-2,215.8-703.3
Netto Overnames 1,215.4-8,4383.3-34.21,536.9-79.5-8.3813.9-127.2-205.6-2,370.3-1,600-218.3-7,174000000
Aankoop van Beleggingen -78,104.9-77,139.6-78,307.4-142,541.9-62,204.6-17,200-39,464.3-33,768.8-3,193-8,445.3-3,366.8-9,160.7-8,614.6-3,627.4-6,282.6-8,628.30-3,110-1,480-235.4
Verkoop/verval van Beleggingen 77,450.271,935.3155,19271,626.734,401.344,984.355,742.222,284.55,675.215,058.54,490.8010,775.8183.620.231.13,136.22.60.80
Overige Investeringsactiviteiten -103,772.71,816.31,608.11,234.9964.423,265.6-1541,882.8224.8425.7547.563,757.4938585586.2436293.449.133.5
Kasstroom uit Investeringsactiviteiten -89,495.2-71,870.722,570.1-88,590-42,093.512,062.518,570.2-24,685-16,934.3-20,584-24,033.9-44,070.131,666.1-22,399-8,431.2-16,526.9-14,419.1-10,474.3-3,645.9-905.2
Financieringsactiviteiten:
Schuldaflossingen -3,299.1-5,788.2-103,459.4-64,992.8-41,541.9-139,387.4-199,820-52,716.2-27,753.2-39,580.5-9,097.5-2,200.3-10,051.1-2,983.3-5,538.5-4,216.9-2,850-760-3,039.3-6,758.6
Uitgifte van Gewone Aandelen 179.5127.8130.3137.832.552.1157.266.126.715.84479.215.714.1000000
Terugkoop van Gewone Aandelen -1,004.1-1,145.3-911.90-35.9-812.10022,250.321,393.82,480.611,820.810,354.86,866.9000000
Uitgekeerde Dividenden -10,944.3-10,912.7-10,650-3,748-3,799.8-3,461.6-3,340.4-3,118.9-2,509-2,525.3-2,495.7-2,195.4-1,660.2-1,216.8-626.6-634.5-7.7-723.7-102-62.2
Overige Financieringsactiviteiten 602.61,408.4-10,088.325,038.3-4,566.283,158.7145,701.230,419.2-455.1-402-419.4-355.7-266.7-200.2-1,236.36,766.63,626.31,085.81,230.74,382
Kasstroom uit Financieringsactiviteiten -10,721.9-16,310-124,979.3-43,564.7-49,911.3-60,450.3-57,302-25,349.8-8,440.3-21,098.2-9,4887,148.6-1,607.52,480.7-7,401.41,915.2768.6-397.9-1,910.6-2,438.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -5.6-6.1-4.73.337.54.541.5-213.4483.8221.3540.2237.7-420.4-9.7-28.238.2-16.4-18.2-2.50
Netto Kasstroomverandering 3,9882,498.3-566.7299.8-2,947.13,600.5183.9-313.720,088.8440.91,637-295226.1784.170.1-96.2141.9317.282.3120.3
Kaspositie aan het Einde van de Periode 7,832.13,703.71,205.41,772.11,465.34,372.4771.9588.120,967.43,925.83,484.91,847.92,1291,9011,116.91,046.81,1431,001.1683.9601.6