Vedanta Limited

NSE:VEDL.NS

449.75 (INR) • At close September 19, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operationele Activiteiten:
Nettowinst 42,390202,760329,640172,130-82,590135,600195,690136,515.7-57,037.8-99,210.3105,744.6-1,739.731,291.555,596.934,445.927,101.623,249.4965,712.98,581.877,165.56
Afschrijvingen & Amortisatie 107,230105,97089,19076,620100,49096,14674,87961,47783,343111,09168,823.21,974.61,061.4963.8745516.7499.639,254.7295.66320.29
Uitgestelde Inkomstenbelasting 0-59,480-55,970-26,770149,870-56,26666,42638,027-103,060-108,3200000000000
Aandelen Gebaseerde Vergoedingen 70077079057571681047066.81,191.51,417.42,011000000000
Verandering in Werkkapitaal 15,52045,990-47,660-15,710-9,39021,280-46,75017,958.763,674.3-25,344.6-10,238.9-359.8-1,431.5-3,037.21,791.23,144.5-1,706.9-23,908.2-1,687.79-1,267.77
Vorderingen 1,80016,620-81,990-32,1504,620-17,550-16,850-9,17054,166.3-28,889.6-33,382.63,874.91,398.8-4,439.3-394.11,310-2,205.4-28,364.300
Voorraden 16,700-7,280-43,73014,09019,900-4,180-22,150-16,225.16,333.33,045.52,305.4-858-1,376.4-2,354.3-1,609.6476.1-132.933,539.4-1,423.8-190.22
Crediteuren -2,98036,65078,0602,350-33,9109,3201,01057,068.911,615.412,002.69,290.9-3,396.6-1,048.93,756.43,794.91,358.4631.4-29,083.300
Overig Werkkapitaal 0000033,690-25,610-22,885.1-8,440.7-11,503.1-21,835.219.9-40500000-263.99-1,077.55
Overige Niet-Contante Posten 309,27034,64033,64032,94033,88039,970-110,345-74,275.140,857.144,392.8-8,320.9347-8,770.5-18,188.7-11,268.9-9,419.5-8,181.4-366,571.8-2,889.34-2,585.79
Kasstroom uit Operationele Activiteiten 275,470330,650349,630239,800192,980237,540180,370179,770.1202,604.8178,051.3156,008222.122,150.935,334.825,713.221,343.313,860.7614,487.64,300.43,632.29
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -167,520-137,870-106,300-68,860-78,140-89,420-73,340-55,168.7-54,778.7-106,561.1-72,835.8-6,263-7,386.2-9,886.9-1,495.2-1,472.9-691-114,310.6-961.25-435.91
Netto Overnames 2,79042,33038,170-450-330-50,750-8,590-38-1.1-11,217.7-1,092.8-2,605.1-135,330.60-17,132.400000
Aankoop van Beleggingen -542,600-1,112,890-991,010-932,000-1,099,830-852,650-866,150-972,199.4-1,074,044.1-1,150,573-1,030,348.8-87,741.484,133.4-24,764.5-37,143.1-9,647.2-11,838.1-371,150.5-1,702-3,040.1
Verkoop/verval van Beleggingen 576,2701,152,4401,038,080978,9301,109,800877,6801,088,2201,042,912.21,040,208.41,210,330.8977,70291,139.21,400.80000000.02
Overige Investeringsactiviteiten -22,98049,060-1,470-45,1209,5609,84013,82011,599.910,937.116,420.913,105.92,262.69,938.35,004.21,829.51,131.6496.644,534.2238.15124.41
Kasstroom uit Investeringsactiviteiten -154,040-6,930-22,530-67,500-58,940-105,300153,96027,106-77,678.4-41,600.1-113,469.5-3,207.7-47,244.3-29,647.2-53,941.2-9,988.5-12,032.5-440,926.9-2,425.1-3,351.58
Financieringsactiviteiten:
Schuldaflossingen -48,150-297,340-390,950-307,620-249,730-135,650-297,780-781,098.5-760,618.2-858,384-550,582.5-40,222.1-568.4-1,165-125-19.8-0.60-120.89-639.61
Uitgifte van Gewone Aandelen 00000152,59068,660755,667.7014700005,372.400000
Terugkoop van Gewone Aandelen -2,0000000-1,440-2,020-1,034.20-11,2180000000000
Uitgekeerde Dividenden -185,720-299,590-166,810-35,190-14,440-80,760-148,810-5,188.8-36,650.3-31,063.2-22,144.2-2,013-5,584.90000-180,007.3-1,558.51-299.63
Overige Financieringsactiviteiten -19,280255,510268,730167,160108,700-37,160-19,310-91,537.3683,407760,960.5522,210.544,613.223,409.7-3,032.321,573.7-11,369.8-1,835.5-9,616.100.01
Kasstroom uit Financieringsactiviteiten -162,670-341,420-289,030-175,650-155,470-102,420-399,260-123,191.1-113,861.5-139,557.7-50,516.22,378.117,256.4-4,197.326,821.1-11,389.6-1,836.1-189,623.4-1,679.4-939.23
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 100250100720-310-640840-298.6-51.1269.2-538.100.101,603.1-0.2-0.1000
Netto Kasstroomverandering -40,680-17,45038,170-2,630-21,74029,180-64,09083,386.411,013.8-2,837.313,557.1-607.5-7,836.91,490.3196.2-35-8-16,062.7195.9-658.52
Kaspositie aan het Einde van de Periode 43,27069,26086,71048,54052,11073,85044,670108,755.221,996.510,982.713,820262.9870.41,827.2336.9140.7175.721,205372.68176.78