Rok finansowy |
2012 |
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
2025 |
Aktywa (mln) |
12 143.5 |
15 761.11 |
17 528.85 |
31 232.09 |
32 148.64 |
35 524.727 |
42 336.1 |
47 000.4 |
47 989.3 |
55 839.9 |
54 859.5 |
57 032.7 |
55 159.9 |
Aktywa trwałe (mln) |
6 343.59 |
7 973.9 |
8 959.98 |
16 553.41 |
17 924.55 |
19 638.693 |
23 693.4 |
25 676.9 |
26 613.6 |
27 875.2 |
31 804.6 |
34 194.0 |
33 225.1 |
Rzeczowe aktywa trwałe netto |
4 107.64 |
5 878.23 |
6 592.58 |
11 599.26 |
12 718.77 |
14 371.648 |
18 138.3 |
19 781.1 |
20 906.3 |
21 402.0 |
23 883.0 |
25 781.6 |
25 396.8 |
Wartość firmy |
10.14 |
0.0 |
0.0 |
1 948.67 |
1 948.67 |
1 948.672 |
2 648.8 |
2 648.8 |
2 648.8 |
2 648.8 |
2 648.8 |
2 648.8 |
2 648.8 |
Wartości niematerialne i prawne |
317.57 |
260.2 |
217.99 |
606.44 |
561.12 |
500.901 |
655.2 |
662.9 |
661.8 |
714.9 |
856.5 |
871.0 |
917.8 |
Wartość firmy i wartości niematerialne i prawne |
327.71 |
260.2 |
217.99 |
2 555.11 |
2 509.79 |
2 449.573 |
3 304.0 |
3 311.7 |
3 310.6 |
3 363.7 |
3 505.3 |
3 519.8 |
3 566.6 |
Należności netto |
2 748.84 |
3 340.57 |
4 088.02 |
6 867.46 |
6 265.54 |
7 501.832 |
8 355.5 |
10 815.9 |
9 703.7 |
11 578.4 |
5 794.3 |
5 189.1 |
5 720.8 |
Inwestycje długoterminowe |
1 079.41 |
1 217.31 |
1 070.06 |
874.22 |
1 714.73 |
1 861.507 |
1 039.2 |
1 291.7 |
1 237.2 |
1 596.5 |
1 584.1 |
1 685.6 |
1 386.3 |
Aktywa obrotowe |
5 799.91 |
7 787.21 |
8 568.87 |
14 678.68 |
14 224.09 |
15 886.034 |
18 642.7 |
21 323.5 |
21 375.7 |
27 964.7 |
23 054.9 |
22 838.7 |
21 934.8 |
Środki pieniężne i Inwestycje |
237.84 |
1 208.96 |
552.55 |
987.26 |
578.05 |
389.373 |
403.9 |
654.6 |
681.4 |
343.2 |
954.3 |
1 107.8 |
393.3 |
Zapasy |
2 781.93 |
3 192.82 |
3 887.79 |
6 665.39 |
7 380.68 |
7 628.559 |
9 517.2 |
9 435.7 |
10 419.4 |
15 067.0 |
14 419.7 |
14 559.2 |
13 235.6 |
Inwestycje krótkoterminowe |
25.33 |
70.37 |
422.16 |
672.96 |
39.86 |
90.855 |
125.9 |
167.1 |
195.1 |
29.6 |
687.1 |
610.2 |
0.0 |
Środki pieniężne i inne aktywa pieniężne |
212.51 |
1 138.59 |
130.39 |
314.3 |
538.19 |
298.518 |
278.0 |
487.5 |
486.3 |
313.6 |
267.2 |
497.6 |
393.3 |
Należności krótkoterminowe |
1 827.41 |
2 296.39 |
2 140.9 |
3 349.11 |
8 404.77 |
9 550.149 |
12 394.4 |
12 885.1 |
7 326.1 |
6 948.2 |
7 043.3 |
6 277.7 |
8 854.6 |
Dług krótkoterminowy |
3 740.32 |
4 555.61 |
6 127.2 |
13 548.73 |
6 433.72 |
3 956.544 |
3 337.4 |
5 996.2 |
8 558.9 |
15 311.8 |
12 865.6 |
10 395.5 |
8 542.2 |
Zobowiązania krótkoterminowe |
6 668.7 |
8 390.93 |
9 705.78 |
18 845.92 |
17 074.82 |
16 641.697 |
18 832.4 |
22 102.4 |
19 720.2 |
26 357.4 |
23 779.8 |
21 929.7 |
22 024.3 |
Rozliczenia międzyokresowe |
1 071.14 |
1 510.64 |
1 412.68 |
1 872.1 |
2 147.14 |
3 003.177 |
3 016.5 |
3 087.8 |
3 625.3 |
3 891.8 |
2 905.4 |
3 495.8 |
0.0 |
Zobowiązania długoterminowe |
1 337.69 |
2 183.44 |
1 418.94 |
2 231.09 |
2 432.36 |
2 076.559 |
3 004.3 |
2 692.0 |
3 655.5 |
2 595.6 |
3 643.7 |
5 891.8 |
7 110.5 |
Rezerwy z tytułu odroczonego podatku |
258.88 |
434.5 |
565.48 |
1 458.14 |
1 670.18 |
1 730.28 |
2 086.0 |
1 750.9 |
1 713.0 |
1 558.5 |
1 797.9 |
1 678.5 |
0.0 |
Zobowiązania z tytułu leasingu |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
210.0 |
330.7 |
353.6 |
327.0 |
1115.3 |
1073.8 |
1149.1 |
Zobowiązania ogółem |
8 006.39 |
10 574.37 |
11 124.72 |
21 077.01 |
19 507.18 |
18 718.256 |
21 836.7 |
24 794.4 |
23 375.7 |
28 953.0 |
27 423.5 |
27 821.5 |
29 134.8 |
Kapitał własny |
4 137.11 |
5 186.74 |
6 404.13 |
7 832.01 |
10 096.79 |
16 806.471 |
20 499.4 |
22 206.0 |
24 613.6 |
26 886.9 |
27 436.0 |
29 211.2 |
26 025.1 |
Udziały mniejszościowe |
0.0 |
0.0 |
0.0 |
2 323.07 |
2 544.67 |
2 692.773 |
4 009.6 |
3 824.6 |
4 102.6 |
4 202.7 |
4 060.7 |
4 044.7 |
2 216.1 |
Pasywa |
12 143.5 |
15 761.11 |
17 528.85 |
31 232.09 |
32 148.64 |
35 524.727 |
42 336.1 |
47 000.4 |
47 989.3 |
55 839.9 |
54 859.5 |
57 032.7 |
55 159.9 |
Inwestycje |
1 104.74 |
1 287.68 |
1 492.22 |
1 547.18 |
1 754.59 |
1 952.362 |
1 165.1 |
1 291.7 |
1 243.3 |
1 598.6 |
2 088.7 |
2 109.2 |
1 386.3 |
Dług (mln) |
4 790.65 |
6 205.38 |
6 848.15 |
13 756.49 |
6 640.06 |
4 097.99 |
3 979.5 |
6 634.0 |
10 235.1 |
15 986.8 |
14 330.0 |
14 158.8 |
13 959.8 |
Środki pieniężne i inne aktywa pieniężne |
212.51 |
1 138.59 |
130.39 |
314.3 |
538.19 |
298.518 |
278.0 |
487.5 |
486.3 |
313.6 |
267.2 |
497.6 |
393.3 |
Dług netto |
4 578.14 |
5 066.79 |
6 717.76 |
13 442.19 |
6 101.87 |
3 799.472 |
3 701.5 |
6 146.5 |
9 748.8 |
15 673.2 |
14 062.8 |
13 661.2 |
13 566.5 |
Ticker |
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