Vipul Limited

NSE:VIPULLTD.NS

34.91 (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 487.602209.914131.61228.521137.70852.052131.683222.392337.021515.207529.64518.836563.099375.718324.841212.678206.727226.889
Kortetermijnbeleggingen 812.237769.832845.866898.69400-1,439.008-1,260.062-1,260.065-1,278.661-1,444.60838.748000000
Liquide middelen en kortetermijnbeleggingen 487.602979.746131.61228.521137.70852.052131.683222.392337.021515.207529.64518.836563.099375.718324.841212.678206.727226.889
Nettovorderingen 2,561.5011,247.0886,528.6976,227.0635,342.994,455.4775,072.2854,397.4173,698.5531,358.2231,142.7352,758.2971,609.4200000
Voorraad 4,399.0127,737.2899,505.59610,225.25510,373.0089,865.9619,206.2057,919.3727,570.8037,096.5136,681.5086,654.2557,389.0037,366.5496,908.196,772.9297,531.8876,201.347
Overige vlottende activa -7,448.1152,942.066-0.001-0.0026,386.5696,137.561-0.0024,444.3564,110.23,501.8722,711.9542.9882.7575,046.5434,883.8994,155.7474,236.6833,652.917
Totaal vlottende activa 11,013.25712,906.18916,165.90216,680.83716,897.28516,055.57414,410.17112,586.11912,018.02311,113.5929,923.1029,934.28810,444.2812,788.8112,116.9311,141.35411,975.29710,081.153
Niet-vlottende activa:
Materiële vaste activa, netto 425.296439.983548.938580.003613.643713.579869.911826.054836.998566.078359.538289.721223.241325.272179.272176.54995.82726.879
Goodwill 160.737160.737160.737160.737160.737167.62160.737166.879160.737160.737160.737160.737160.737160.73700997.538951.926
Immateriële activa 00.7980.7980.911.3822.0382.052.116162.1120.8091.3610.9021.12800000
Goodwill en immateriële activa 160.737161.535161.535161.647162.119169.658162.787162.853162.112161.546162.098161.64161.865160.73700997.538951.926
Langetermijnbeleggingen 64.03862.2461.9165.82168.86168.3831,465.1081,366.5311,388.8971,404.3741,567.45258.404058.3490000
Belastingvorderingen 15.487551.776551.751482.923308.837270.612222.33794.30574.87162.22440.13835.58819.1393.5093.41422.4681.3120.327
Overige niet-vlottende activa 874.277296.263963.679920.23978.681,416.1430.001122.26897.0666658.6541,504.2161,620.0790.18962.18160.87284.15266.802
Totaal niet-vlottende activa 1,539.8351,511.7972,287.8132,210.6242,132.142,638.3752,720.1442,572.0112,559.9442,260.2212,187.882,049.572,024.324548.057244.867259.8891,178.8291,045.934
Totaal activa 12,553.09214,417.93618,453.71518,891.46119,029.42518,693.94917,130.31515,158.1314,577.96713,373.81212,110.98211,983.85812,468.60413,336.86712,361.79711,401.24313,154.12611,127.087
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 548.292582.601830.351832.945653.384541.752394.148313.638337.326393.094409.781496.765000000
Kortlopende schulden 1,799.4151,953.954,978.3835,318.3753,067.7722,320.0852,452.0231,172.282936.2091,059.982748.022584.761000000
Belastingschulden 0114.761122.022110.751208.09383.76747.300000000000
Uitgestelde opbrengsten 1,630.5685,213.765,723.665,353.5865,030.4394,785.7044,171.17500034.75843.889000000
Overige kortlopende verplichtingen 4,897.5224,657.0063,379.1013,178.1723,117.6272,418.7671,555.8795,503.986,050.6395,024.8325,525.7955,337.1157,137.1687,270.5716,332.9746,330.668,019.4478,275.252
Totaal kortlopende verplichtingen 8,875.79712,407.31714,911.49514,683.07811,869.22210,066.3088,573.2256,989.97,324.1746,477.9086,718.3566,462.5317,137.1687,270.5716,332.9746,330.668,019.4478,275.252
Langlopende verplichtingen:
Langetermijnschulden 78.7710.31,047.6021,015.0173,344.3584,201.9934,175.8762,921.4551,934.0741,474.768138.645310.891285.8382,310.1882,498.4291,611.3161,841.9342,290.728
Uitgestelde opbrengsten niet-vlottend 9,035.16613,240.27716,108.60116,137.9021.651.6513,483.05711,420.5250000000000
Uitgestelde belastingverplichtingen niet-vlottend -9,035.166-13,240.277-16,108.601-16,137.90233-13,483.057-11,420.5250000000000
Overige niet-vlottende verplichtingen 80.669122.61149.504439.807510.261730.445733.9571,611.5161,584.2121,586.6911,306.0351,176.11,120.3510.2110.2070.2450.0440.044
Totaal niet-vlottende verplichtingen 159.369832.911,197.1061,454.8243,859.2694,937.0884,909.8334,532.9713,518.2863,061.4591,444.681,486.9921,406.1892,310.3992,498.6361,611.5611,841.9792,290.772
Totaal passiva 9,035.16613,240.22716,108.60116,137.90215,728.49115,003.39613,483.05811,522.87110,842.469,539.3678,163.0367,949.5238,543.3579,580.978,831.617,942.2219,861.42510,566.024
Eigen vermogen:
Preferente aandelen 00004,642.3454,959.0350112.7180000000000
Gewone aandelen 119.984119.984119.984119.984119.984119.984119.984119.984119.984119.984119.984119.984119.984119.984119.984119.984119.984102.047
Ingehouden winsten 3,517.926-2,585.335-1,418.755-1,009.239-462.007-78.979-129.969136.341123.461339.654450.1321,546.432000000
Overige gereserveerde algehele resultaten 3,517.9261,287.3021,288.1271,291.096-357.981-288.484-239.352-183.143-120.399-104.989-91.752-82.387-68.934-63.703-52.836-39.202-27.956-15.778
Overige totale aandeelhoudersvermogen -3,637.912,324.212,324.212,320.17-672.952-1,051.7843,951.9753,417.653,580.1233,447.2133,433.9762,414.6113,874.123,699.4053,462.8313,377.9943,200.628474.75
Totaal eigen vermogen van aandeelhouders 3,517.9261,146.1612,313.5662,722.0113,269.3893,659.7723,615.7193,603.553,703.173,801.8633,912.3413,998.643,925.1713,755.6863,529.9793,458.7773,292.656561.018
Totaal eigen vermogen 4,908.4391,177.7092,345.1142,753.5593,300.9343,690.5533,647.2573,635.2593,735.5083,834.4453,947.9464,034.3353,925.2473,755.8973,530.1873,459.0223,292.701561.063
Totaal passiva en aandeelhoudersvermogen 12,553.09214,417.93618,453.71518,891.46119,029.42518,693.94917,130.31515,158.1314,577.96713,373.81212,110.98211,983.85812,468.60413,336.86712,361.79711,401.24313,154.12611,127.087