Varun Beverages Limited

NSE:VBL.NS

510 (INR) • At close May 14, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,607.812,422.121,543.321,507.51,045.581,379.68429.36649.46325294.6344.09508.96383.84
Kortetermijnbeleggingen 1,836.392,150.255,286.414,135.582,524.9662.93140.55295.140.01337.843,019.80.010.01
Liquide middelen en kortetermijnbeleggingen 2,607.814,572.371,543.321,507.51,045.581,442.61569.91944.6325.01632.443,363.89508.97383.85
Nettovorderingen 16,544.593,593.856,863.954,668.044,249.44,072.612,765.232,522.291,557.41979.1972.88652.07906.5
Voorraad 27,912.3421,505.3319,938.8514,480.879,288.048,815.135,783.974,388.944,899.254,507.062,892.52,464.062,305.78
Overige vlottende activa 31,57512,684.755,694.187,260.273,413.742,451.422,428.911,740.571,743.982,750.071,359.661,811.32,248.31
Totaal vlottende activa 78,639.7442,356.334,040.325,461.1317,996.7616,718.8411,407.479,687.188,744.137,889.578,588.935,436.45,844.44
Niet-vlottende activa:
Materiële vaste activa, netto 136,342.27102,794.8575,749.163,902.1459,898.0360,316.3242,742.1938,110.0435,087.1633,078.7622,379.9622,431.7618,731.34
Goodwill 3,009.37242.3242.3242.3242.3242.319.419.42,132.0895.4195.4195.4295.41
Immateriële activa 11,194.955,4715,509.15,585.745,572.015,623.115,248.574,374.153,370.033,633.411,320.791,493.43194.16
Goodwill en immateriële activa 14,204.325,713.35,751.45,828.045,814.315,865.415,267.974,393.555,502.113,633.411,416.21,588.85289.57
Langetermijnbeleggingen 0221.32-4,799.56-4,135.57-2,524.95-62.92-28.11-203.9156.18-291.417.578.760.14
Belastingvorderingen 196.310024.07110.18128.4833480.0467.84386.02000
Overige niet-vlottende activa 2,056.46786.065,441.194,739.093,289.5918.21590.56769.182,833.76594.79547.42427.91-19,021.05
Totaal niet-vlottende activa 152,799.36109,515.5382,142.1370,357.7766,587.0767,165.548,906.6143,148.943,547.0537,401.5824,361.1524,457.2819,021.05
Totaal activa 231,439.1151,871.83116,182.4395,818.984,583.8383,884.3460,314.0852,836.0852,291.1845,291.1532,950.0829,893.6825,548.04
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 15,604.277,582.488,242.617,117.535,113.854,776.613,167.971,909.462,745.92,645.781,626.911,150.66753.57
Kortlopende schulden 16,284.7920,444.8719,913.6715,421.712,365.0110,622.928,277.988,957.179,030.123,450.557,850.776,364.60
Belastingschulden 656.23390.02755.68139.4138.92152325.0268.35890.45238.27000
Uitgestelde opbrengsten 01,844.622,036.14,566.475,796.216,807.35,962.769,017.186,023.889,462.96000
Overige kortlopende verplichtingen 12,698.9611,270.138,739.482,957.356,149.875,522.814,958.763,534.162,693.1410,520.132,557.552,144.468,234.92
Totaal kortlopende verplichtingen 45,244.2541,532.1239,687.5430,202.4624,349.522,202.9217,408.7115,932.2117,414.7216,854.7312,035.239,659.728,988.49
Langlopende verplichtingen:
Langetermijnschulden 11,977.7533,868.2318,924.4718,445.920,040.6123,553.7619,805.5716,181.0412,183.6126,136.2716,302.3816,951.8713,628.12
Uitgestelde opbrengsten niet-vlottend 47.3168.45.946.737.348.2344.33778.62-2,498.63-1,511.52000
Uitgestelde belastingverplichtingen niet-vlottend 4,879.093,430.113,368.483,111.412,259.432,825.071,921.661,501.512,225.681,511.52000
Overige niet-vlottende verplichtingen 1,894.342,126.442,041.132,085.432,039.061,703.351,071.0973.832,046.744,652.69369.851,128.42-13,628.12
Totaal niet-vlottende verplichtingen 18,798.4939,493.1824,340.0223,649.4724,346.4428,090.4122,842.6519,223.9115,937.2130,788.9617,484.0718,080.2913,628.12
Totaal passiva 64,042.7481,025.364,027.5653,851.9348,695.9450,293.3340,251.3635,156.1233,351.9347,643.6929,519.327,740.0123,831.84
Eigen vermogen:
Preferente aandelen 005,440.12,233.41,867.481,340.951,962.62,523.811,228.984,5002,0000187.53
Gewone aandelen 6,763.026,496.076,495.54,330.332,886.892,886.891,826.421,825.871,823.131,337.661,337.661,337.6680
Ingehouden winsten 68,582.0645,663.527,398.8413,967.428,042.435,560.111,720.41-594.121,705.83492.97-357.45-155.89535.78
Overige gereserveerde algehele resultaten 00-5,440.1-2,233.4-1,867.48-1,340.95-1,962.6-1,929.69-1,228.981,337.66450.57971.80
Overige totale aandeelhoudersvermogen 90,753.217,205.4122,569.5624,734.7326,178.1726,178.1718,400.8118,392.2218,349.39-8,004.5200912.79
Totaal eigen vermogen van aandeelhouders 166,098.2969,364.9851,023.840,799.0835,240.0133,284.2219,985.0417,694.2818,938.67-2,166.863,430.782,153.571,716.1
Totaal eigen vermogen 167,396.3670,846.5352,154.8741,966.9735,887.8933,591.0120,062.7217,679.9618,939.25-2,352.543,430.782,153.671,716.2
Totaal passiva en aandeelhoudersvermogen 231,439.1151,871.83116,182.4395,818.984,583.8383,884.3460,314.0852,836.0852,291.1845,291.1532,950.0829,893.680