Sun Pharmaceutical Industries
1810,00 ₹
In sintesi
- Crescita dei ricavi
- +11,19%
- Es. al mar 2026 rispetto a Es. al mar 2025
- Crescita dell'utile netto
- +5,04%
- Es. al mar 2026 rispetto a Es. al mar 2025
- Margine netto
- 19,6%
- Es. al mar 2025: 20,8%
Dati finanziari
Importi in milioni di INR; valori per azione in INR; azioni in milioni.
| Voce | T2 2026 | T1 2026 | T4 2025 | T3 2025 | T2 2025 | T1 2025 | T4 2024 | T3 2024 | T2 2024 | T1 2024 | T4 2023 | T3 2023 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Totale attivo | — | 1.087.852 | — | 1.037.065 | — | 921.006 | — | 881.157 | — | 854.997 | — | 794.412 |
| Attivo corrente | — | 638.912 | — | 601.674 | — | 526.245 | — | 461.055 | — | 434.750 | — | 393.538 |
| Cassa e disponibilità liquide | — | 97.705 | — | 122.574 | — | 102.688 | — | 90.150 | — | 92.857 | — | 72.220 |
| Investimenti a breve termine | — | 44.330 | — | 156.230 | — | 50.966 | — | 111.072 | — | 53.712 | — | 76.112 |
| Crediti | — | 159.288 | — | 154.477 | — | 136.007 | — | 129.894 | — | 119.440 | — | 113.458 |
| Rimanenze | — | 120.585 | — | 104.422 | — | 107.593 | — | 99.357 | — | 102.949 | — | 99.564 |
| Immobilizzazioni materiali nette | — | 124.948 | — | 117.618 | — | 112.703 | — | 112.483 | — | 113.001 | — | 111.185 |
| Avviamento | — | 98.331 | — | 92.790 | — | 89.394 | — | 87.712 | — | 85.690 | — | 89.201 |
| Altre immobilizzazioni immateriali | — | 135.462 | — | 136.848 | — | 90.205 | — | 94.484 | — | 87.330 | — | 88.705 |
| Investimenti a lungo termine | — | 37.891 | — | 39.201 | — | 46.977 | — | 66.365 | — | 64.412 | — | 52.571 |
| Passività correnti | — | 226.220 | — | 234.153 | — | 181.942 | — | 172.552 | — | 169.844 | — | 150.232 |
| Debiti commerciali | — | 73.338 | — | 67.056 | — | 61.843 | — | 57.325 | — | 56.533 | — | 56.995 |
| Debito a lungo termine | — | 313 | — | 24,3 | — | 25,2 | — | 13,3 | — | 13,3 | — | — |
| Debito totale | — | 5.770 | — | 5.316 | — | 4.951 | — | 4.922 | — | 4.293 | — | — |
| Totale passività | — | 249.055 | — | 255.799 | — | 196.146 | — | 187.360 | — | 183.737 | — | 162.443 |
| Patrimonio netto (incl. terzi) | 838.797 | 838.797 | 781.266 | 781.266 | 724.860 | 724.860 | 693.797 | 693.797 | 671.060 | 671.259 | 631.969 | 631.969 |
| Utili portati a nuovo | — | 694.677 | — | — | — | 614.525 | — | — | — | 537.452 | — | — |
| Patrimonio di terzi | — | 3.097 | — | 3.069 | — | 2.679 | — | 2.648 | — | 34.592 | — | 33.712 |
