GMM Pfaudler Limited (GMMPFAUDLR): Kapitalflussrechnung
Der letzte verfügbare Schlusskurs ist 29.07.2025. Die angezeigten Informationen beziehen sich auf den historischen Stand und sind nicht tagesaktuell.
| Preis (29.07.2025) | 52W Hoch | 52W Tief |
| 1.281,4 Rupie (Indien) | 1.527,553 Rupie (Indien) | 990,342 Rupie (Indien) |
| Analysten Konsens | Buy | Outperform | Hold | Underperform | Sell |
| 2.100 Rupie (Indien) | - | - | - | - | - |
| #Shares | Short [%] | Short Ratio |
| 44.957.200 | - | - |
Kennzahl in 1000 INR | 2025-03-31 | 2024-03-31 | 2023-03-31 | 2022-03-31 | 2021-03-31 | 2020-03-31 | 2019-03-31 | 2018-03-31 | 2017-03-31 | 2016-03-31 | 2015-03-31 | 2014-03-31 | 2013-03-31 | 2012-03-31 | 2011-03-31 | 2010-03-31 | 2009-03-31 | 2008-03-31 | 2007-03-31 | 2006-03-31 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Umsatz | 31.986.900 | 34.464.800 | 31.775.500 | 25.405.700 | 10.011.190 | 5.910.720 | 5.026.430 | 4.056.990 | 3.530.300 | 2.920.760 | 3.076.280 | 2.787.860 | 2.128.930 | 2.524.360 | 1.949.244 | 1.937.547 | 2.024.300 | 1.559.179 | 1.147.120 | 1.017.640 |
Cashflow aus operativer Geschäftstätigkeit | 3.781.000 | 2.838.900 | 1.847.500 | 2.363.900 | 1.567.050 | 267.030 | 270.370 | 677.360 | 230.350 | 246.550 | 301.380 | 64.260 | 244.650 | 319.430 | 280.298 | 79.079 | 275.380 | 112.181 | -22.158 | 124.042 |
▸ Operative Cashflow Marge | 11,82% | 8,24% | 5,81% | 9,3% | 15,65% | 4,52% | 5,38% | 16,7% | 6,52% | 8,44% | 9,8% | 2,3% | 11,49% | 12,65% | 14,38% | 4,08% | 13,6% | 7,19% | -1,93% | 12,19% |
Investitionsausgaben (CapEx) | 629.300 | 637.800 | 688.400 | 1.316.600 | 790.830 | 355.960 | 162.120 | 238.720 | 144.380 | 138.950 | 77.740 | 50.620 | 75.950 | 116.160 | 124.599 | 35.432 | 43.117 | 67.411 | 23.967 | 21.793 |
Cashflow aus Investitionstätigkeit | -523.000 | -317.000 | -3.111.400 | -1.165.600 | -659.450 | -497.040 | -80.610 | -242.020 | -220.080 | -179.610 | -149.030 | -20.280 | -80.780 | -104.600 | -275.744 | -19.578 | -60.679 | -56.841 | -22.914 | -33.994 |
Cashflow aus Finanzierungstätigkeit | -2.006.200 | -2.440.400 | 1.298.900 | -553.200 | 1.049.340 | -46.400 | -98.290 | -80.710 | -62.550 | -59.950 | -57.900 | -68.210 | -45.170 | -113.660 | -18.200 | -55.360 | -171.454 | -69.986 | 52.860 | -88.356 |
Freier Cashflow | 3.151.700 | 2.201.100 | 1.159.100 | 1.047.300 | 776.220 | -88.930 | 108.250 | 438.640 | 85.970 | 107.600 | 223.640 | 13.640 | 168.700 | 203.270 | 155.699 | 43.647 | 232.263 | 44.770 | -46.125 | 102.249 |
▸ Freie Cashflow Marge | 9,85% | 6,39% | 3,65% | 4,12% | 7,75% | -1,5% | 2,15% | 10,81% | 2,44% | 3,68% | 7,27% | 0,49% | 7,92% | 8,05% | 7,99% | 2,25% | 11,47% | 2,87% | -4,02% | 10,05% |
Ausgeschüttete Dividenden | -87.800 | -88.700 | -89.500 | -72.000 | -73.040 | -65.840 | -86.570 | -70.400 | -53.530 | -53.070 | -43.730 | -50.700 | -31.260 | -40.700 | -40.731 | -40.573 | -40.708 | -39.258 | -34.954 | -41.771 |
Neuausgabe und Rückkäufe von Stammaktien | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
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