Universal Cables Limited

NSE:UNIVCABLES.NS

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

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 50.2316.7912.21538.30120.32621.99136.01760.28961.99149.25744.16822.36929.98626.92268.48941.449.30626.628
Kortetermijnbeleggingen 409.011374.1496.8347.012-2.3088.19610.1530.407-49.2080.0180.0180.018000000
Liquide middelen en kortetermijnbeleggingen 50.23390.93919.04945.31318.01830.18746.1760.28961.99149.25744.16822.36929.98626.92268.48941.449.30626.628
Nettovorderingen 10,767.9918,897.9689,972.8978,655.4548,203.956,685.6335,679.5893,667.8963,243.7942,843.3162,426.0172,235.411,277.1451,448.2151,174.3051,450.6221,015.862788.245
Voorraad 2,840.1522,802.6823,008.8342,603.4952,668.5862,625.9921,658.7151,481.5521,230.6661,136.9221,049.2861,267.9051,024.5211,093.8221,107.441857.2071,331.014927.048
Overige vlottende activa 755.844557.126558.4990.068,628.6973.22386.2070.009141.270.006115.5820.01373.57183.287120.098104.46652.37418.778
Totaal vlottende activa 14,414.21712,648.71513,559.27911,304.32211,315.2949,415.0357,470.6815,209.7464,677.7214,029.5013,635.0533,525.6972,405.2222,752.2462,470.3332,453.6952,448.5561,760.699
Niet-vlottende activa:
Materiële vaste activa, netto 1,780.7881,484.2921,500.8791,624.0291,660.3671,321.8161,255.1441,604.8391,349.8661,455.4711,558.8671,427.331,343.7291,448.2431,440.4011,440.091,452.9441,255.536
Goodwill 000000000000000000
Immateriële activa 2.452.6981.5720.9411.9963.4185.0845.7213.1491.953.5934.6518.20400000
Goodwill en immateriële activa 2.452.6981.5720.9411.9963.4185.0845.7213.1491.953.5934.6518.20400000
Langetermijnbeleggingen 16,863.74613,591.26211,910.82610,261.4678,482.6837,403.2046,334.8065,311.437562.4513.174513.174507.424000000
Belastingvorderingen -0308.801543.469308.59610,467.266354.353192.355170.561-562.4-513.174-513.174-507.424000000
Overige niet-vlottende activa 135.0967.29565.3827.412-10,131.8739.48716.45-3,854.316634.462719.2739.511858.575847.191507.442507.442283.342283.342283.342
Totaal niet-vlottende activa 18,782.07415,454.34814,022.12812,202.44510,480.4399,092.2787,803.8393,238.2421,987.4772,176.6212,301.9712,290.5562,199.1241,955.6851,947.8431,723.4321,736.2861,538.878
Totaal activa 33,196.29128,103.06327,581.40723,506.76721,795.73318,507.31315,274.528,447.9886,665.1986,206.1225,937.0245,816.2534,604.3464,707.9314,418.1764,177.1274,184.8423,299.577
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,290.794102.9734,713.9063,405.0143,414.2312,589.1752,667.451,624.7241,214.778952.3961,033.4871,221.644000000
Kortlopende schulden 5,735.3054,173.7934,582.6065,227.2145,059.1033,930.1182,754.321,675.9011,728.1552,097.9841,932.8262,079.631000000
Belastingschulden 44.0822.52006.30228.49216.106028.779000000000
Uitgestelde opbrengsten 44.0823,044.209314.115297.748285.063228.466205.131187.715372.312417.592281.102530.952000000
Overige kortlopende verplichtingen 881.165498.4690.3970.3970.3970.3970.3972.9052.90.6252.73.42,590.127912.581,004.7281,076.55901.583615.7
Totaal kortlopende verplichtingen 9,951.3467,819.4449,611.0248,930.3738,758.7946,748.1565,627.2983,491.2453,318.1453,468.5973,250.1153,835.6272,590.127912.581,004.7281,076.55901.583615.7
Langlopende verplichtingen:
Langetermijnschulden 1,954.4272,397.7842,354.635867.081,153.8161,480.9281,182.3151,276.4841,3801,5501,138.2638.6342.4631,592.2181,342.5091,256.21,472.918994.471
Uitgestelde opbrengsten niet-vlottend 20.50488.00687.18991.21190.3783.8254.22282.96900022.757000000
Uitgestelde belastingverplichtingen niet-vlottend 3,387.5622,829.5052,578.0532,258.3661,887.398187.60519.70522.21600040.55563.964138.394129.19104.936112.38694.652
Overige niet-vlottende verplichtingen 131.9632.2372.6343.0313.42795.03494.929.11190.3276.75871.3040.41322.9640010.52200
Totaal niet-vlottende verplichtingen 5,494.4565,317.5325,022.5113,219.6883,135.0191,767.3921,301.1621,390.781,470.321,626.7581,209.564102.35989.3911,730.6121,471.6991,371.6581,585.3041,089.123
Totaal passiva 15,445.80213,136.97614,633.53512,150.06111,893.8138,515.5486,928.464,882.0254,788.4655,095.3554,459.6793,937.9862,679.5182,643.1922,476.4272,438.2862,486.8871,704.823
Eigen vermogen:
Preferente aandelen 000011,677.3560000000000000
Gewone aandelen 346.983346.983346.983346.983346.983346.983346.983346.983346.983231.332231.332231.332231.332231.332231.332231.332231.332231.332
Ingehouden winsten 9,844.0768,858.527,725.3867,009.9176,411.495,582.2034,290.3241,542.647-107.716-303.21143.903444.491000000
Overige gereserveerde algehele resultaten 17,403.5065,128.33411,968.63910,377.473-783.472-574.069-383.584-2,124.478-1,909.59-1,745.633-1,553.981-1,388.317-1,251.839-1,156.123-1,406.534-1,275.967-1,116.548-1,013.272
Overige totale aandeelhoudersvermogen -9,844.076632.25-7,093.136-6,377.667-7,750.4374,636.6484,092.3373,800.8113,547.0562,928.2792,756.0912,590.7612,945.3352,989.533,116.9512,784.0762,583.1712,376.694
Totaal eigen vermogen van aandeelhouders 17,750.48914,966.08712,947.87211,356.7069,901.929,991.7658,346.063,565.9631,876.7331,110.7671,477.3451,878.2671,924.8282,064.7391,941.7491,739.4411,697.9551,594.754
Totaal eigen vermogen 17,750.48914,966.08712,947.87211,356.7069,901.929,991.7658,346.063,565.9631,876.7331,110.7671,477.3451,878.2671,924.8282,064.7391,941.7491,739.4411,697.9551,594.754
Totaal passiva en aandeelhoudersvermogen 33,196.29128,103.06327,581.40723,506.76721,795.73318,507.31315,274.528,447.9886,665.1986,206.1225,937.0245,816.2534,604.3464,707.9314,418.1764,177.1274,184.8423,299.577