Bilans
dane w mln
| index | 0 | 1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9 | 10 | 11 | 12 | 13 | 14 | 15 | 16 | 17 | 18 | 19 | 20 | 21 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Rok finansowy | 2004 | 2005 | 2006 | 2007 | 2008 | 2009 | 2010 | 2011 | 2012 | 2013 | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 | 2025 |
| Aktywa (mln) | 813 106.1 | 968 714.7 | 1 325 347.3 | 1 749 601.8 | 2 460 753.8 | 2 594 451.9 | 3 075 190.0 | 3 271 910.0 | 3 623 570.0 | 4 288 430.0 | 4 960 180.0 | 5 989 970.0 | 7 123 390.0 | 8 163 480.0 | 10 024 060.0 | 11 659 150.0 | 13 212 120.0 | 14 996 650.0 | 17 135 060.0 | 17 559 860.0 | 17 559 860.0 | 19 501 210.0 |
| Aktywa trwałe (mln) | 582 086.6 | 718 536.8 | 994 142.8 | 1 234 680.6 | 1 873 257.1 | 1 903 371.8 | 2 000 250.0 | 1 823 420.0 | 2 064 430.0 | 2 777 740.0 | 3 584 690.0 | 4 712 120.0 | 5 655 260.0 | 6 325 620.0 | 7 703 530.0 | 9 076 550.0 | 9 482 010.0 | 11 526 460.0 | 12 715 280.0 | 12 858 860.0 | 12 858 860.0 | 14 508 510.0 |
| Rzeczowe aktywa trwałe netto | 341 083.9 | 876 303.3 | 928 956.0 | 1 114 267.6 | 1 764 775.1 | 1 277 665.1 | 1 124 880.0 | 1 096 640.0 | 1 159 060.0 | 1 458 460.0 | 2 486 790.0 | 3 282 220.0 | 4 208 600.0 | 4 822 510.0 | 4 522 930.0 | 4 950 160.0 | 5 222 370.0 | 5 685 060.0 | 6 878 020.0 | 7 584 660.0 | 7 674 930.0 | 8 619 420.0 |
| Wartość firmy | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 34 710.0 | 42 540.0 | 48 920.0 | 58 130.0 | 119 970.0 | 102 590.0 | 102 120.0 | 130 090.0 | 136 620.0 | 149 890.0 | 149 890.0 | 245 300.0 |
| Wartości niematerialne i prawne | 10 163.0 | 11 172.8 | 12 506.7 | 25 184.5 | 44 126.6 | 494 584.2 | 737 860.0 | 545 130.0 | 675 330.0 | 870 650.0 | 589 260.0 | 811 310.0 | 976 110.0 | 1 028 430.0 | 1 135 470.0 | 1 364 890.0 | 1 347 620.0 | 2 187 890.0 | 3 155 810.0 | 3 453 850.0 | 3 453 850.0 | 3 844 090.0 |
| Wartość firmy i wartości niematerialne i prawne | 10 163.0 | 11 172.8 | 12 506.7 | 25 184.5 | 44 126.6 | 494 584.2 | 737 860.0 | 545 130.0 | 675 330.0 | 870 650.0 | 623 970.0 | 853 850.0 | 1 025 030.0 | 1 086 560.0 | 1 255 440.0 | 1 467 480.0 | 1 449 740.0 | 2 317 980.0 | 3 292 430.0 | 3 603 740.0 | 3 603 740.0 | 4 089 390.0 |
| Należności netto | 39 278.1 | 43 516.7 | 38 313.5 | 60 683.0 | 48 449.7 | 100 829.2 | 156 960.0 | 321 130.0 | 312 470.0 | 202 120.0 | 133 820.0 | 62 420.0 | 95 330.0 | 200 400.0 | 306 340.0 | 203 250.0 | 589 220.0 | 237 700.0 | 286 240.0 | 341 450.0 | 341 450.0 | 473 030.0 |
| Inwestycje długoterminowe | 163 867.6 | (10 070.1) | (96 200.7) | (122 248.0) | (45 662.6) | 24 650.4 | (77 740.0) | (157 500.0) | (148 900.0) | (68 680.0) | (268 210.0) | 420 190.0 | 267 640.0 | 258 670.0 | 1 651 950.0 | 2 255 840.0 | 2 148 660.0 | 2 895 910.0 | 1 206 310.0 | (80 110.0) | 1 195 020.0 | 1 300 110.0 |
| Aktywa obrotowe | 231 019.5 | 250 177.9 | 331 204.5 | 514 921.2 | 587 496.7 | 691 080.1 | 1 074 940.0 | 1 448 490.0 | 1 559 140.0 | 1 510 690.0 | 1 375 490.0 | 1 277 850.0 | 1 468 130.0 | 1 837 860.0 | 2 320 530.0 | 2 582 600.0 | 3 730 110.0 | 3 470 190.0 | 4 419 780.0 | 4 701 000.0 | 4 701 000.0 | 4 992 700.0 |
| Środki pieniężne i Inwestycje | 103 079.3 | 102 902.3 | 168 251.2 | 262 218.1 | 337 439.0 | 245 380.4 | 448 240.0 | 608 840.0 | 659 840.0 | 678 450.0 | 681 290.0 | 551 520.0 | 643 570.0 | 666 290.0 | 840 120.0 | 1 177 240.0 | 1 747 420.0 | 1 529 000.0 | 2 234 170.0 | 2 273 600.0 | 1 538 860.0 | 2 252 110.0 |
| Zapasy | 74 128.8 | 103 452.6 | 124 562.7 | 191 261.4 | 201 096.1 | 343 933.2 | 385 200.0 | 466 920.0 | 546 010.0 | 567 200.0 | 532 440.0 | 464 860.0 | 489 510.0 | 608 370.0 | 675 610.0 | 739 030.0 | 816 720.0 | 1 077 780.0 | 1 400 080.0 | 1 527 700.0 | 1 527 700.0 | 1 460 620.0 |
| Inwestycje krótkoterminowe | 66 972.1 | 76 738.2 | 148 880.8 | 217 476.5 | 110 018.0 | 106 472.1 | 146 850.0 | 271 730.0 | 288 690.0 | 337 350.0 | 557 720.0 | 455 440.0 | 632 740.0 | 640 090.0 | 766 130.0 | 919 210.0 | 1 602 360.0 | 1 193 910.0 | 1 487 090.0 | 1 301 350.0 | 727 070.0 | 1 728 690.0 |
| Środki pieniężne i inne aktywa pieniężne | 36 107.2 | 26 164.1 | 19 370.4 | 44 741.6 | 227 421.0 | 138 908.3 | 301 390.0 | 337 110.0 | 371 150.0 | 341 100.0 | 123 570.0 | 96 080.0 | 10 830.0 | 26 200.0 | 73 990.0 | 258 030.0 | 145 060.0 | 335 090.0 | 747 080.0 | 972 250.0 | 811 790.0 | 523 420.0 |
| Należności krótkoterminowe | 44.8 | 74.1 | 81.5 | 91.4 | 75.3 | 83.1 | 361 070.0 | 403 680.0 | 497 000.0 | 608 600.0 | 585 480.0 | 602 960.0 | 765 950.0 | 1 068 610.0 | 1 083 090.0 | 967 990.0 | 1 088 970.0 | 1 593 300.0 | 1 471 780.0 | 1 783 770.0 | 1 783 770.0 | 1 867 890.0 |
| Dług krótkoterminowy | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 137 520.0 | 270 950.0 | 362 590.0 | 377 420.0 | 398 990.0 | 390 180.0 | 444 510.0 | 745 880.0 | 799 990.0 | 1 398 440.0 | 894 940.0 | 812 680.0 | 1 357 280.0 | 1 060 150.0 | 1 019 100.0 | 1 106 310.0 |
| Zobowiązania krótkoterminowe | 171 329.8 | 170 725.7 | 202 516.3 | 268 666.9 | 388 720.1 | 425 855.9 | 750 940.0 | 796 070.0 | 962 740.0 | 1 151 560.0 | 1 343 810.0 | 1 851 540.0 | 2 353 150.0 | 3 138 520.0 | 3 173 220.0 | 4 129 160.0 | 2 775 680.0 | 3 086 620.0 | 3 965 340.0 | 3 973 670.0 | 3 973 670.0 | 4 537 370.0 |
| Rozliczenia międzyokresowe | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 47 420.0 | 121 430.0 | 103 140.0 | 165 530.0 | 359 310.0 | 7 390.0 | 7 390.0 | 1 315 330.0 | 427 080.0 | 646 900.0 | 160 230.0 | 21 720.0 | 232 680.0 | 577 770.0 | 0.0 | 0.0 |
| Zobowiązania długoterminowe | 230 839.1 | 283 136.2 | 406 420.1 | 584 944.3 | 858 079.3 | 752 830.9 | 775 210.0 | 773 400.0 | 830 790.0 | 1 140 410.0 | 1 496 040.0 | 1 789 310.0 | 2 103 980.0 | 2 054 510.0 | 2 896 920.0 | 2 916 520.0 | 2 442 120.0 | 3 020 190.0 | 3 828 100.0 | 4 328 310.0 | 4 328 310.0 | 4 867 580.0 |
| Rezerwy z tytułu odroczonego podatku | 42 668.2 | 49 708.2 | 69 905.3 | 77 983.4 | 95 513.3 | 106 775.7 | 110 710.0 | 115 670.0 | 115 880.0 | 119 250.0 | 192 040.0 | 204 940.0 | 267 350.0 | 296 180.0 | 499 230.0 | 541 230.0 | 370 010.0 | 496 440.0 | 603 270.0 | 722 410.0 | 722 410.0 | 834 530.0 |
| Zobowiązania z tytułu leasingu | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 480.0 | 430.0 | 340.0 | 230.0 | 110.0 | 20.0 | 0.0 | 75160.0 | 86970.0 | 83140.0 | 156690.0 | 204260.0 | 215200.0 | 215200.0 | 220450.0 |
| Zobowiązania ogółem | 402 168.9 | 453 861.9 | 608 936.4 | 853 611.2 | 1 246 799.4 | 1 178 686.8 | 1 526 150.0 | 1 569 470.0 | 1 793 530.0 | 2 291 970.0 | 2 839 850.0 | 3 640 850.0 | 4 457 130.0 | 5 193 030.0 | 6 070 140.0 | 7 045 680.0 | 5 217 800.0 | 6 106 810.0 | 7 793 440.0 | 8 301 980.0 | 8 301 980.0 | 9 404 950.0 |
| Kapitał własny | 410 937.2 | 514 852.8 | 716 410.9 | 895 990.6 | 1 213 954.4 | 1 415 765.1 | 1 549 040.0 | 1 702 440.0 | 1 830 040.0 | 1 996 460.0 | 2 120 330.0 | 2 349 120.0 | 2 666 260.0 | 2 970 450.0 | 3 953 920.0 | 4 613 470.0 | 7 994 320.0 | 8 889 840.0 | 9 341 620.0 | 9 257 880.0 | 9 257 880.0 | 10 096 260.0 |
| Udziały mniejszościowe | 0.5 | 4 572.5 | 34 220.1 | 40 885.8 | 1 389.0 | 5 735.3 | 8 020.0 | 7 990.0 | 9 490.0 | 9 590.0 | 33 130.0 | 33 560.0 | 29 170.0 | 35 390.0 | 82 800.0 | 121 810.0 | 992 600.0 | 1 094 990.0 | 1 130 090.0 | 1 323 070.0 | 1 323 070.0 | 1 664 260.0 |
| Pasywa | 813 106.1 | 968 714.7 | 1 325 347.3 | 1 749 601.8 | 2 460 753.8 | 2 594 451.9 | 3 075 190.0 | 3 271 910.0 | 3 623 570.0 | 4 288 430.0 | 4 960 180.0 | 5 989 970.0 | 7 123 390.0 | 8 163 480.0 | 10 024 060.0 | 11 659 150.0 | 13 212 120.0 | 14 996 650.0 | 17 135 060.0 | 17 559 860.0 | 17 559 860.0 | 19 501 210.0 |
| Inwestycje | 230 839.7 | 66 668.1 | 52 680.1 | 95 228.5 | 64 355.4 | 131 122.5 | 69 110.0 | 114 230.0 | 139 790.0 | 268 670.0 | 289 510.0 | 415 120.0 | 256 390.0 | 252 590.0 | 1 646 120.0 | 2 038 520.0 | 2 132 300.0 | 2 880 030.0 | 2 104 370.0 | 1 221 240.0 | 1 922 090.0 | 3 028 800.0 |
| Dług (mln) | 188 170.9 | 233 428.0 | 336 514.8 | 506 960.9 | 762 566.0 | 646 055.2 | 799 880.0 | 924 470.0 | 1 072 190.0 | 1 387 580.0 | 1 603 520.0 | 1 806 650.0 | 1 965 990.0 | 2 187 630.0 | 2 875 050.0 | 3 449 910.0 | 2 601 250.0 | 2 819 740.0 | 3 351 340.0 | 3 461 420.0 | 3 461 420.0 | 3 695 750.0 |
| Środki pieniężne i inne aktywa pieniężne | 36 107.2 | 26 164.1 | 19 370.4 | 44 741.6 | 227 421.0 | 138 908.3 | 301 390.0 | 337 110.0 | 371 150.0 | 341 100.0 | 123 570.0 | 96 080.0 | 10 830.0 | 26 200.0 | 73 990.0 | 258 030.0 | 145 060.0 | 335 090.0 | 747 080.0 | 972 250.0 | 811 790.0 | 523 420.0 |
| Dług netto | 152 063.7 | 207 263.9 | 317 144.4 | 462 219.3 | 535 145.0 | 507 146.9 | 498 490.0 | 587 360.0 | 701 040.0 | 1 046 480.0 | 1 479 950.0 | 1 710 570.0 | 1 955 160.0 | 2 161 430.0 | 2 801 060.0 | 3 191 880.0 | 2 456 190.0 | 2 484 650.0 | 2 604 260.0 | 2 489 170.0 | 2 646 900.0 | 3 172 330.0 |
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