Bilans
dane w mln
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| Rok finansowy | 2004 | 2005 | 2006 | 2007 | 2008 | 2009 | 2010 | 2011 | 2012 | 2013 | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 | 2025 |
| Data sprawozdania | 2004-03-31 | 2005-03-31 | 2006-03-31 | 2007-03-31 | 2008-03-31 | 2009-03-31 | 2010-03-31 | 2011-03-31 | 2012-03-31 | 2013-03-31 | 2014-03-31 | 2015-03-31 | 2016-03-31 | 2017-03-31 | 2018-03-31 | 2019-03-31 | 2020-03-31 | 2021-03-31 | 2022-03-31 | 2023-03-31 | 2024-03-31 | 2025-03-31 |
| Okres | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY |
| Aktywa (mln) | 21 783.8 | 36 724.3 | 43 948.7 | 79 206.5 | 124 182.5 | 201 577.3 | 305 026.2 | 641 153.6 | 1 069 972.0 | 1 122 585.0 | 1 182 537.4 | 1 308 585.7 | 452 000.9 | 476 894.1 | 569 886.6 | 424 075.5 | 468 983.6 | 516 428.6 | 1 017 601.9 | 1 414 878.2 | 1 607 318.5 | 1 981 355.4 |
| Aktywa trwałe (mln) | 948.8 | 681.0 | 2 527.4 | 14 042.4 | 44 407.0 | 93 478.0 | 187 127.8 | 470 672.3 | 812 451.8 | 842 350.6 | 913 522.3 | 981 334.1 | 211 918.7 | 255 307.3 | 211 188.4 | 194 081.7 | 227 154.4 | 316 795.5 | 708 148.0 | 1 044 660.9 | 1 237 049.6 | 1 573 910.7 |
| Rzeczowe aktywa trwałe netto | 756.5 | 566.7 | 1 829.7 | 13 081.8 | 37 964.6 | 86 806.5 | 175 842.8 | 401 318.7 | 735 032.2 | 747 654.4 | 808 509.3 | 851 756.8 | 160 812.9 | 186 253.9 | 132 879.8 | 121 125.9 | 142 984.3 | 149 924.3 | 410 122.3 | 674 888.8 | 835 172.1 | 990 118.2 |
| Wartość firmy | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 2.6 | 0.0 | 9 886.1 | 2 347.7 | 1 674.7 | 20 874.4 | 1 166.8 | 796.6 | 796.6 | 542.2 | 1 391.3 | 1 519.7 | 3 009.2 | 8 871.6 | 10 400.1 | 10 860.5 |
| Wartości niematerialne i prawne | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 153.7 | 927.5 | 1 705.9 | 4 639.3 | 30 812.6 | 31 339.0 | 33 039.3 | 33 443.7 | 26 578.0 | 26 777.2 | 25 962.0 | 33 537.7 | 44 872.7 | 123 075.0 | 124 619.9 | 192 470.5 | 284 554.8 |
| Wartość firmy i wartości niematerialne i prawne | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 153.7 | 930.1 | 1 705.9 | 14 525.4 | 33 160.3 | 33 013.7 | 53 913.7 | 34 610.5 | 27 374.6 | 27 573.8 | 26 504.2 | 34 929.0 | 46 392.4 | 126 084.2 | 133 491.5 | 202 870.6 | 295 415.3 |
| Należności netto | 0.0 | 0.0 | 0.0 | 0.0 | 13 967.2 | 0.0 | 51 829.8 | 91 588.7 | 126 307.4 | 148 893.4 | 180 679.2 | 189 111.6 | 104 020.2 | 129 911.9 | 121 818.3 | (0.2) | 135 475.1 | 124 382.9 | 143 036.4 | 210 390.8 | 105 783.3 | 96 164.7 |
| Inwestycje długoterminowe | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 9 627.1 | 7 618.5 | 3 413.3 | (3 613.8) | (9 013.0) | (10 346.9) | (962.0) | 6 212.6 | 10 515.1 | 15 248.8 | 19 163.7 | 64 836.1 | 58 558.2 | 100 274.0 | 166 647.0 | 76 310.2 |
| Aktywa obrotowe | 20 835.0 | 36 043.3 | 41 421.3 | 65 164.1 | 79 775.5 | 108 099.3 | 117 898.4 | 170 481.3 | 257 520.2 | 280 234.4 | 269 015.1 | 327 251.6 | 240 082.2 | 221 586.8 | 358 698.2 | 229 993.8 | 241 829.2 | 199 633.1 | 309 453.9 | 370 217.3 | 368 600.9 | 407 444.7 |
| Środki pieniężne i Inwestycje | 2 853.2 | 5 252.6 | 7 149.7 | 16 316.4 | 16 429.9 | 25 832.0 | 29 187.8 | 28 502.5 | 66 143.2 | 39 996.5 | 24 248.1 | 30 797.4 | 12 104.4 | 15 860.8 | 16 229.3 | 14 717.3 | 32 319.0 | 15 369.2 | 18 596.5 | 80 245.2 | 45 477.7 | 92 180.5 |
| Zapasy | 3 064.8 | 3 297.3 | 4 596.6 | 17 991.1 | 32 694.6 | 30 983.4 | 33 854.9 | 45 002.9 | 52 147.8 | 37 333.5 | 39 240.7 | 40 816.8 | 28 433.7 | 16 519.0 | 23 425.6 | 26 688.2 | 25 623.7 | 17 570.4 | 67 882.8 | 69 180.5 | 94 868.6 | 102 873.9 |
| Inwestycje krótkoterminowe | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 1 004.0 | 4 651.8 | 10 158.4 | 11 586.2 | 1 697.3 | 5 895.0 | 4 639.0 | 4 978.5 | 11 072.1 | 8 707.7 | 9 474.2 | 61 421.9 | 22 412.2 | 22 555.9 |
| Środki pieniężne i inne aktywa pieniężne | 2 853.2 | 5 252.6 | 7 149.7 | 16 316.4 | 16 429.9 | 25 832.0 | 29 187.8 | 28 502.5 | 65 139.2 | 35 344.7 | 14 089.7 | 19 211.2 | 10 407.1 | 9 965.8 | 11 590.3 | 9 738.8 | 21 246.9 | 6 661.5 | 9 122.3 | 18 823.3 | 23 065.5 | 69 624.6 |
| Należności krótkoterminowe | 9 438.6 | 18 674.0 | 19 336.7 | 16 535.8 | 20 772.0 | 26 810.7 | 32 630.0 | 34 660.0 | 45 157.1 | 61 166.0 | 88 762.2 | 103 831.8 | 43 155.9 | 80 438.8 | 81 094.9 | 115 977.8 | 113 979.6 | 102 415.2 | 150 671.4 | 285 468.5 | 246 692.6 | 208 676.8 |
| Dług krótkoterminowy | 0.0 | 0.0 | 0.0 | 0.0 | 11 345.5 | 0.0 | 0.0 | 21 960.4 | 203 449.9 | 204 817.0 | 223 956.9 | 280 838.8 | 109 628.7 | 106 227.3 | 120 827.6 | 68 385.4 | 89 221.7 | 65 406.5 | 202 839.8 | 70 258.8 | 64 057.3 | 116 351.5 |
| Zobowiązania krótkoterminowe | 10 881.9 | 20 774.8 | 21 649.6 | 23 762.9 | 36 760.0 | 45 127.7 | 50 176.0 | 85 650.3 | 298 893.0 | 340 448.7 | 367 152.8 | 428 750.3 | 232 183.1 | 222 269.8 | 343 992.4 | 223 806.6 | 232 888.8 | 214 830.9 | 438 497.8 | 448 030.5 | 446 516.9 | 473 831.5 |
| Rozliczenia międzyokresowe | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 6 275.3 | 44 300.1 | 29 470.8 | 32 971.0 | 24 258.7 | 18 291.2 | 117 640.0 | 20 534.3 | 24 008.9 | 30 600.9 | 51 006.8 | 57 934.0 | 51 069.2 | 0.0 |
| Zobowiązania długoterminowe | 3 921.6 | 8 520.0 | 13 774.1 | 43 896.6 | 62 669.7 | 121 491.2 | 175 955.1 | 345 272.9 | 541 557.9 | 535 210.4 | 533 006.2 | 581 538.8 | 84 808.6 | 107 642.1 | 70 010.0 | 48 831.8 | 53 995.4 | 112 497.6 | 309 820.4 | 587 947.2 | 724 874.5 | 942 819.4 |
| Rezerwy z tytułu odroczonego podatku | 84.1 | 78.4 | 113.5 | 367.1 | 558.2 | 648.8 | 1 566.6 | 11 523.1 | 23 042.4 | 19 186.4 | 7 997.5 | 10 048.3 | 1 633.9 | 779.3 | 893.7 | 2 192.8 | 233.0 | 261.4 | 26 062.7 | 29 799.1 | 29 338.4 | 33 623.5 |
| Zobowiązania z tytułu leasingu | 0.0 | 0.0 | 28.8 | 22.5 | 11.9 | 6.5 | 3.0 | 0.0 | 382.0 | 313.9 | 212.1 | 212.1 | -8904.8 | -6685.1 | -9220.6 | -10239.4 | 4509.5 | 1756.4 | 5802.6 | 148808.4 | 151862.7 | 155827.6 |
| Zobowiązania ogółem | 14 803.5 | 29 294.8 | 35 423.7 | 67 659.5 | 99 429.7 | 166 618.9 | 226 131.1 | 430 923.2 | 840 450.9 | 875 659.1 | 900 159.0 | 1 010 289.1 | 316 991.7 | 329 911.9 | 414 002.4 | 272 638.4 | 286 884.2 | 327 328.5 | 748 318.2 | 1 035 977.7 | 1 165 455.6 | 1 416 650.9 |
| Kapitał własny | 6 980.3 | 7 429.5 | 8 525.0 | 11 547.0 | 24 752.8 | 34 958.4 | 78 895.1 | 210 230.4 | 229 521.1 | 246 925.9 | 282 378.4 | 298 296.6 | 135 009.2 | 146 982.2 | 155 884.2 | 151 437.1 | 182 099.4 | 189 100.1 | 269 283.7 | 378 900.5 | 441 862.9 | 564 704.5 |
| Udziały mniejszościowe | 0.0 | 0.0 | 0.0 | 41.5 | 3 503.3 | 4 769.2 | 18 518.2 | 35 089.3 | 34 623.0 | 32 339.5 | 44 806.5 | 41 018.5 | 852.1 | 5 622.5 | 4 992.5 | 3 877.7 | 12 633.7 | 17 514.4 | 46 718.6 | 48 390.4 | 51 102.0 | 61 564.8 |
| Pasywa | 21 783.8 | 36 724.3 | 43 948.7 | 79 206.5 | 124 182.5 | 201 577.3 | 305 026.2 | 641 153.6 | 1 069 972.0 | 1 122 585.0 | 1 182 537.4 | 1 308 585.7 | 452 000.9 | 476 894.1 | 569 886.6 | 424 075.5 | 468 983.6 | 516 428.6 | 1 017 601.9 | 1 414 878.2 | 1 607 318.5 | 1 981 355.4 |
| Inwestycje | 174.6 | 99.6 | 665.0 | 127.6 | 3 303.0 | 6 391.1 | 9 627.1 | 7 618.5 | 4 417.3 | 1 038.0 | 1 145.4 | 1 239.3 | 735.3 | 12 107.6 | 15 154.1 | 15 999.1 | 19 164.0 | 60 244.4 | 54 020.9 | 118 357.3 | 189 059.2 | 98 866.1 |
| Dług (mln) | 3 837.5 | 8 441.6 | 13 660.6 | 43 529.5 | 62 111.5 | 120 842.4 | 174 388.5 | 327 628.6 | 652 308.6 | 691 604.3 | 719 799.2 | 835 706.8 | 205 630.0 | 212 268.6 | 183 547.0 | 116 317.0 | 128 702.5 | 161 768.4 | 416 040.3 | 532 004.6 | 653 101.5 | 918 191.7 |
| Środki pieniężne i inne aktywa pieniężne | 2 853.2 | 5 252.6 | 7 149.7 | 16 316.4 | 16 429.9 | 25 832.0 | 29 187.8 | 28 502.5 | 65 139.2 | 35 344.7 | 14 089.7 | 19 211.2 | 10 407.1 | 9 965.8 | 11 590.3 | 9 738.8 | 21 246.9 | 6 661.5 | 9 122.3 | 18 823.3 | 23 065.5 | 69 624.6 |
| Dług netto | 984.3 | 3 189.0 | 6 510.9 | 27 213.1 | 45 681.6 | 95 010.4 | 145 200.7 | 299 126.1 | 587 169.4 | 656 259.6 | 705 709.5 | 816 495.6 | 195 222.9 | 202 302.8 | 171 956.7 | 106 578.2 | 107 455.6 | 155 106.9 | 406 918.0 | 513 181.3 | 630 036.0 | 848 567.1 |
| Ticker | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS | ADANIENT.NS |
| Waluta | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR | INR |