Vascon Engineers Limited

NSE:VASCONEQ.NS

54.94 (INR) • At close November 5, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 820529.7257.967275.407246.705471.157255.898664.593825.918583.942497.647458.945444.7711,124.486490.388200.561490.40392.522
Kortetermijnbeleggingen 40.54,000.53,364.09276.445195.70257.938130.556741.616212.482336.232545.838290.102473.5033,725.7892,857.1383,264.0682,787.029556.892
Liquide middelen en kortetermijnbeleggingen 860.54,530.23,622.059351.852442.407529.095386.4541,406.2091,038.4920.1751,043.485749.047918.2744,850.2753,347.5263,464.6293,277.432649.413
Nettovorderingen 3,580.93,077.52,669.7224,790.6793,882.1333,710.7693,573.6953,056.632,856.5323,481.8312,481.4323,683.2952,583.02002,195.1112,300.868550.981
Voorraad 5,608.94,725.45,144.1744,592.4584,808.5815,002.264,715.3394,511.6164,683.6683,032.0963,549.2643,526.5983,827.5162,911.3943,229.884748.162499.523941.542
Overige vlottende activa 4,201.6400.9332.6295.44,900.364,322.0064,249.75275.3371,166.7711,187.362,365.9911,955.5682,850.1783,435.1822,693.655300.75287.16679.302
Totaal vlottende activa 14,251.912,73411,768.55510,030.38910,151.3489,853.3619,351.5439,249.7939,745.3728,621.4629,440.1729,914.50710,178.98911,196.859,271.0656,708.6546,164.992,221.239
Niet-vlottende activa:
Materiële vaste activa, netto 958.6862.9604.484559.406628.567682.896718.712823.7491,057.281,176.351,400.191,517.7751,534.271,526.3961,770.328449.006403.476173.263
Goodwill 156.1156.1183.22266.125266.125266.125266.125266.125409.187730.645729.89100726.9970000
Immateriële activa 7.85.42.9651.7911.6793.33213.7041.783411.6524.141.8530784.59700000
Goodwill en immateriële activa 145.2161.5186.185267.916267.804269.457279.829410.97784.69734.785731.76752.54784.597726.9974,627.466000
Langetermijnbeleggingen 2,513.5940.711778.582836.282824.283734.516697.1031,079.1994.297-60.906-397.71872.139-145.687-2,709.566-1,182.984-2,007.296-1,671.381-504.139
Belastingvorderingen 69.262.167.14767.46971.56271.67371.81983.81166.70335.13920.01216.49833.02920.1698.6623.8322.1550
Overige niet-vlottende activa 678.71,730.2891,496.5371,438.2041,613.0971,695.4842,099.311,728.1052,275.3653,046.0143,182.232,509.3972,682.1443,725.789-1,770.3283,264.0682,787.029546.556
Totaal niet-vlottende activa 4,365.23,757.53,132.9353,169.2773,405.3133,454.0263,866.7734,125.8244,278.3344,931.3834,936.4754,868.3484,888.3523,289.7853,453.1441,709.6091,521.278215.68
Totaal activa 18,617.116,491.514,901.4913,199.66613,556.66113,307.38713,218.31613,375.61814,023.70613,552.84514,376.64714,782.85615,067.34114,486.63512,724.2098,418.2637,686.2682,436.919
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,031.43,615.93,293.3082,724.7712,258.3252,166.0012,132.92918.2471,951.0882,212.2911,421.9241,736.541,657.5491,716.9021,123.504564.076582.469198.246
Kortlopende schulden 1,017.8739.91,422.11,715.8271,569.9781,122.911,866.9241,422.9111,394.3852,306.1082,364.7281,993.5652,349.01700000
Belastingschulden 24.921166.868179.392168.746168.519290.338518.588385.837449.227000000000
Uitgestelde opbrengsten 1,714.63351.8-105.3491,062.578-1,812.407290.3381,261.9211,790.649142.58481.769174.223156.01178.90800000
Overige kortlopende verplichtingen 900.871,767.81,698.20.032,937.6171,139.15914.7781,877.5033,031.2343,284.3172,818.853,112.3442,859.5091,812.3172,745.6562,254.2531,403.733541.795
Totaal kortlopende verplichtingen 7,664.76,475.46,308.2595,503.2064,953.5134,718.4085,276.5525,109.316,519.2917,884.4856,779.7246,998.467,044.9843,529.2193,869.1592,818.3291,986.202740.042
Langlopende verplichtingen:
Langetermijnschulden 791683.6223.866430.79996.2171,402.241909.5341,326.3451,004.107300.938774.219460.353582.4923,703.5372,168.1721,764.6972,575.3591,169.32
Uitgestelde opbrengsten niet-vlottend 8.4468.872-1.9490.3170.7171.1171.5171.91750.31754.15517.00712.6158.83400000
Uitgestelde belastingverplichtingen niet-vlottend -8.446-8.8721.949173.4531,149.20942.9352.01628.5031.7112.9472.7453.3422.4051.6172.062000
Overige niet-vlottende verplichtingen 215.588.9128.0950.3-979.685146.743188.729305.5046.25812.25851.28251.7964.94500000
Totaal niet-vlottende verplichtingen 1,006.5772.5351.961604.861,166.4581,593.0311,151.7961,662.2691,062.392370.297845.253528.106598.6763,705.1532,170.2331,764.6972,575.3591,169.32
Totaal passiva 8,671.27,247.96,660.226,108.0666,119.9716,311.4396,428.3486,771.5797,581.6838,254.7827,624.9777,526.5667,643.667,234.3726,039.3934,583.0264,561.5611,909.362
Eigen vermogen:
Preferente aandelen 00008,911.7220000000000000
Gewone aandelen 2,213.22,173.22,173.1711,821.3671,781.3671,781.3671,741.3671,676.6021,613.067904.759901.826901.802901.356900.161900.161759.154726.147301.6
Ingehouden winsten 1,062.557448.952-500.66-852.191-433.226-827.555-849.482199.252174.38124.8541,730.5572,150.905005,710.8693,076.0832,398.56225.957
Overige gereserveerde algehele resultaten 7,597.1436.9382.436412.51-1,414.966-1,236.161-1,195.039-1,131.023-1,081.834-990.42-792.351-679.095-532.44-488.598-274.623-173.24-124.985-70.865
Overige totale aandeelhoudersvermogen -1,062.5576,058.6486,058.6515,609.895-1,501.8917,184.7496,983.7745,740.1045,613.8215,145.7784,757.3314,761.0326,936.0446,764.191274.623173.24124.98570.865
Totaal eigen vermogen van aandeelhouders 9,810.39,117.78,113.5986,991.5817,343.0066,902.46,680.626,484.9356,319.4345,184.9726,597.3627,134.6447,304.9597,175.7546,611.0293,835.2373,124.707527.557
Totaal eigen vermogen 9,945.99,243.68,241.277,091.67,436.696,995.9486,789.9686,604.0396,442.0235,298.0636,751.6697,256.297,423.6817,252.2636,684.8163,835.2373,124.707527.557
Totaal passiva en aandeelhoudersvermogen 18,617.116,491.514,901.4913,199.66613,556.66113,307.38713,218.31613,375.61814,023.70613,552.84514,376.64714,782.85615,067.34114,486.63512,724.2098,418.2637,686.2682,436.919