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Pangentukan Shree Digvijay Cement Company Limited

Laporan hasil keuangan perusahaan Shree Digvijay Cement Company Limited, Shree Digvijay Cement Company Limited taunan kanggo 2024. Nalika Panjenengan Shree Digvijay Cement Company Limited nerbitake laporan keuangan?
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Shree Digvijay Cement Company Limited jumlah pendapatan, penghasilan net lan dinamika owah-owahan ing Rupee India

Shree Digvijay Cement Company Limited penghasilan saiki ing Rupee India. Hasil net saka Shree Digvijay Cement Company Limited ing 30/06/2020 cacahe 874 962 000 Rs. Iki minangka indikator finansial utama Shree Digvijay Cement Company Limited. Jadwal finansial saka Shree Digvijay Cement Company Limited kasusun saka telung denah pratondho finansial utama perusahaan: total aset, hasil net, penghasilan net. Shree Digvijay Cement Company Limited laporan finansial ing grafik nuduhake dinamika aset. Grafik regane kabeh Shree Digvijay Cement Company Limited dituduhake ing bar ijo.

Laporan Tanggal Total revenue
Total revenue diwiwiti kanthi ngalikan jumlah barang sing didol dening rega barang.
lan Owah-owahan (%)
Perbandingan laporan seprapat taun iki kanthi laporan kuartalan pungkasan taun.
Net income
Pendapatan netepake penghasilan perusahaan ngurangi biaya barang sing didol, biaya lan pajak kanggo periode pelaporan.
lan Owah-owahan (%)
Perbandingan laporan seprapat taun iki kanthi laporan kuartalan pungkasan taun.
30/06/2020 72 977 638 797.76 Rs -26.045 % ↓ 8 324 316 098.95 Rs -34.339 % ↓
31/03/2020 110 297 855 564.22 Rs +21.69 % ↑ 19 328 153 850.29 Rs -
31/12/2019 101 433 147 857.66 Rs - 7 877 256 519.27 Rs -
30/09/2019 81 475 357 297.11 Rs - 7 197 158 793.02 Rs -
30/06/2019 98 678 393 417.80 Rs - 12 677 808 976 Rs -
31/03/2019 90 638 243 734.51 Rs - -1 875 731 881.98 Rs -
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Laporan keuangan Shree Digvijay Cement Company Limited, jadwal

Tanggal Shree Digvijay Cement Company Limited laporan keuangan: 31/03/2019, 31/03/2020, 30/06/2020. Tanggal pernyataan keuangan sing diatur miturut laporan hukum lan financial. Saiki laporan keuangan Shree Digvijay Cement Company Limited kanggo dina iki yaiku 30/06/2020. Total revenue Shree Digvijay Cement Company Limited diwiwiti kanthi ngalikan jumlah barang sing didol dening rega barang. Total revenue Shree Digvijay Cement Company Limited punika 874 962 000 Rs

Tanggal laporan finansial Shree Digvijay Cement Company Limited

Pendapatan operasional Shree Digvijay Cement Company Limited minangka langkah akuntansi sing ngukur jumlah keuntungan sing ditampa saka operasi bisnis, sawise ngurangi biaya operasi, kayata upah, panyusutan lan biaya barang sing didol. Pendapatan operasional Shree Digvijay Cement Company Limited punika 143 771 000 Rs Equity Shree Digvijay Cement Company Limited minangka jumlah kabeh aset pemilik sawise nyuda total utang saka total aset. Equity Shree Digvijay Cement Company Limited punika 2 764 002 000 Rs

30/06/2020 31/03/2020 31/12/2019 30/09/2019 30/06/2019 31/03/2019
MediaWiki kotor
MediaWiki punika keuntungan sing perusahaan ditampa sawise ngurangi biaya prodhuksi lan sade produk lan / utawa biaya nyedhiyakake layanan.
44 067 897 187.30 Rs 54 003 796 345.69 Rs 49 459 469 080.90 Rs 41 407 308 841.74 Rs 53 421 951 639 Rs 26 508 547 909.07 Rs
Rega biaya
Biaya punika total biaya produksi lan distribusi produk lan layanan perusahaan.
28 909 741 610.46 Rs 56 294 059 218.53 Rs 51 973 678 776.77 Rs 40 068 048 455.37 Rs 45 256 441 778.80 Rs 64 129 695 825.44 Rs
Total revenue
Total revenue diwiwiti kanthi ngalikan jumlah barang sing didol dening rega barang.
72 977 638 797.76 Rs 110 297 855 564.22 Rs 101 433 147 857.66 Rs 81 475 357 297.11 Rs 98 678 393 417.80 Rs 90 638 243 734.51 Rs
Pendapatan operasional
Pendapatan operasional yaiku revenue saka bisnis inti perusahaan. Contone, pengecer ngasilake penghasilan liwat penjualan barang, lan dhokter ditampa income saka layanan medis sing dheweke menehi.
- - - - - -
Pendapatan operasional
Pendapatan operasional minangka langkah akuntansi sing ngukur jumlah keuntungan sing ditampa saka operasi bisnis, sawise ngurangi biaya operasi, kayata upah, panyusutan lan biaya barang sing didol.
11 991 455 751.90 Rs 23 815 681 194.61 Rs 11 070 062 621.91 Rs 9 774 507 313.86 Rs 18 824 878 196.60 Rs -2 534 560 915.54 Rs
Net income
Pendapatan netepake penghasilan perusahaan ngurangi biaya barang sing didol, biaya lan pajak kanggo periode pelaporan.
8 324 316 098.95 Rs 19 328 153 850.29 Rs 7 877 256 519.27 Rs 7 197 158 793.02 Rs 12 677 808 976 Rs -1 875 731 881.98 Rs
R & D expenses
Biaya riset lan pengembangan - biaya riset kanggo nambah produk lan prosedur sing ana utawa kanggo ngembangake produk lan prosedur anyar.
- - - - - -
Operasi expenses
Beban operasi iku expenses sing bisnis kalebu minangka asil saka operasi bisnis normal.
60 986 183 045.86 Rs 86 482 174 369.61 Rs 90 363 085 235.75 Rs 71 700 849 983.25 Rs 79 853 515 221.20 Rs 93 172 804 650.06 Rs
Aset saiki
Aset saiki minangka item neraca sing nggambarake nilai kabeh aset sing bisa diowahi dadi awis ing setahun.
- 129 177 448 515.35 Rs - 80 725 698 434.77 Rs - 94 034 228 407.32 Rs
Total aset
Jumlah total aset minangka awis awis saka total awis organisasi, cathetan utang, lan properti nyata.
- 316 774 157 385.46 Rs - 272 757 555 280.53 Rs - 300 212 518 310.99 Rs
Saiki awis
Saiki awis iku jumlah kabeh awis sing dianakake dening perusahaan ing tanggal laporan kasebut.
- 435 966 496.83 Rs - 16 059 864 740.26 Rs - 30 020 718 028.62 Rs
Utang saiki
Utang saiki minangka bagean saka utang sing dibayar ing taun (12 sasi) lan dituduhake minangka kewajiban saiki lan minangka bagean saka modal kerja net.
- - - 60 290 738 498.21 Rs - 108 928 985 821.36 Rs
Total awis
Total jumlah awis yaiku jumlah kabeh awis sing perusahaan duwe ing akun, kalebu awis lan dana cilik sing dianakake ing bank.
- - - - - -
Total utang
Total utang minangka kombinasi saka utang jangka panjang lan jangka panjang. Utang jangka pendek iku kudu dibayar sajrone setahun. Utang jangka panjang biasane nyakup kabeh kewajiban sing kudu dilunasi sawise setahun.
- - - 69 777 576 317.61 Rs - 116 954 038 903.17 Rs
Rasio utang
Total utang kanggo aset total minangka rasio financial sing nuduhake persentase aset perusahaan sing dituduhake minangka utang.
- - - 25.58 % - 38.96 %
Equity
Equity minangka jumlah kabeh aset pemilik sawise nyuda total utang saka total aset.
230 536 114 245.28 Rs 230 536 114 245.28 Rs 202 979 978 962.92 Rs 202 979 978 962.92 Rs 183 258 479 407.82 Rs 183 258 479 407.82 Rs
Arus kas
Arus kas punika jumlah net saka kas lan setara kas sing sirkulasi ing organisasi.
- - - - - -

Laporan keuangan paling anyar babagan pendapatan Shree Digvijay Cement Company Limited yaiku 30/06/2020. Miturut laporan paling anyar babagan asil finansial Shree Digvijay Cement Company Limited, total revenue Shree Digvijay Cement Company Limited ana 72 977 638 797.76 Rupee India lan diganti dadi -26.045% dibandhingake taun sadurunge. Keuntungan bersih Shree Digvijay Cement Company Limited pada kuartal terakhir 8 324 316 098.95 Rs, laba bersih berubah -34.339% dibanding tahun lalu.

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