\n 现金与现金等价物<\/span><\/p> <\/td> \n | 4,859<\/span><\/span><\/p> <\/td> \n | 4,331<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 待售金融资产<\/span><\/p> <\/td> \n | 140<\/span><\/span><\/p> <\/td> \n | 367<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 存单投资<\/span><\/p> <\/td> \n | -<\/span><\/span><\/p> <\/td> \n | <\/p> 143<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 应收帐款<\/span><\/p> <\/td> \n | 1,554<\/span><\/span><\/p> <\/td> \n | 1,394<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 未入帐营收<\/span><\/p> <\/td> \n | 455<\/span><\/span><\/p> <\/td> \n | 469<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 预付款和其它流动资产<\/span><\/p> <\/td> \n | 527<\/span><\/span><\/p> <\/td> \n | 440<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 衍生金融工具<\/span><\/p> <\/td> \n | 16<\/span><\/span><\/p> <\/td> \n | 36<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 流动资产合计<\/span><\/p> <\/td> \n | 7,551<\/span><\/span><\/p> <\/td> \n | 7,180<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 非流动资产<\/span><\/p> <\/td> \n | <\/td> \n | <\/td> \n <\/tr> \n | \n 不动产、厂房和设备<\/span><\/p> <\/td> \n | 1,460<\/span><\/span><\/p> <\/td> \n | 1,316<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 商誉<\/span><\/p> <\/td> \n | 495<\/span><\/span><\/p> <\/td> \n | 360<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 无形资产<\/span><\/p> <\/td> \n | 102<\/span><\/span><\/p> <\/td> \n | 57<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 联营投资<\/span><\/p> <\/td> \n | 15<\/span><\/span><\/p> <\/td> \n | -<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 待售金融资产<\/span><\/p> <\/td> \n | 215<\/span><\/span><\/p> <\/td> \n | 208<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 递延所得税资产<\/span><\/p> <\/td> \n | 85<\/span><\/span><\/p> <\/td> \n | 110<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 所得税资产<\/span><\/p> <\/td> \n | 654<\/span><\/span><\/p> <\/td> \n | 254<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 其它非流动资产<\/span><\/p> <\/td> \n | 38<\/span><\/span><\/p> <\/td> \n | 37<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 非流动资产合计<\/span><\/p> <\/td> \n | 3,064<\/span><\/span><\/p> <\/td> \n | 2,342<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 资产合计<\/span><\/p> <\/td> \n | 10,615<\/span><\/span><\/p> <\/td> \n | 9,522<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 负债和权益<\/span><\/p> <\/td> \n | <\/td> \n | <\/td> \n <\/tr> \n | \n 流动负债<\/span><\/p> <\/td> \n | <\/td> \n | <\/td> \n <\/tr> \n | \n 应付账款<\/span><\/p> <\/td> \n | 22<\/span><\/span><\/p> <\/td> \n | 29<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 衍生金融工具<\/span><\/p> <\/td> \n | -<\/span><\/span><\/p> <\/td> \n | -<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 流动所得税负债<\/span><\/p> <\/td> \n | 451<\/span><\/span><\/p> <\/td> \n | 365<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 客户保证金<\/span><\/p> <\/td> \n | 4<\/span><\/span><\/p> <\/td> \n | 6<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 未实现营收<\/span><\/p> <\/td> \n | 168<\/span><\/span><\/p> <\/td> \n | 110<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 员工福利债务<\/span><\/p> <\/td> \n | 171<\/span><\/span><\/p> <\/td> \n | 159<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 准备金<\/span><\/p> <\/td> \n | 77<\/span><\/span><\/p> <\/td> \n | 63<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 其它流动负债<\/span><\/p> <\/td> \n | 927<\/span><\/span><\/p> <\/td> \n | 792<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 流动负债合计<\/span><\/p> <\/td> \n | 1,820<\/span><\/span><\/p> <\/td> \n | 1,524<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 非流动负债<\/span><\/p> <\/td> \n | <\/td> \n | <\/td> \n <\/tr> \n | \n 递延所得税负债<\/span><\/p> <\/td> \n | 25<\/span><\/span><\/p> <\/td> \n | 11<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 其它非流动负债 <\/span><\/p> <\/td> \n | 8<\/span><\/span><\/p> <\/td> \n | 54<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 负债合计<\/span><\/p> <\/td> \n | 1,853<\/span><\/span><\/p> <\/td> \n | 1,589<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 权益<\/span><\/p> <\/td> \n | <\/td> \n | <\/td> \n <\/tr> \n | \n 股本-面值5卢比(0.16美元)1,200,000,000 (600,000,000)股额定 股本,截至2015年3月31日(2014年3月31日), 除去5,667,200 (2,833,600)股库存股票,已发行和在 外流通股为1,142,805,132 (571,402,566)股<\/span><\/p> <\/td> \n | 109<\/span><\/span><\/p> <\/td> \n | 64<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 股票溢价<\/span><\/p> <\/td> \n | 659<\/span><\/span><\/p> <\/td> \n | 704<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 保留盈余<\/span><\/p> <\/td> \n | 10,090<\/span><\/span><\/p> <\/td> \n | 8,892<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 权益的其它组成部分<\/span><\/p> <\/td> \n | (2,096)<\/span><\/span><\/p> <\/td> \n | (1,727)<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 归属于公司权益持有人的权益合计<\/span><\/p> <\/td> \n | 8,762<\/span><\/span><\/p> <\/td> \n | 7,933<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 非控制权益 <\/span><\/p> <\/td> \n | -<\/span><\/span><\/p> <\/td> \n | -<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 权益合计<\/span><\/p> <\/td> \n | 8,762<\/span><\/span><\/p> <\/td> \n | 7,933<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 负债和权益合计<\/span><\/p> <\/td> \n | 10,615<\/span><\/span><\/p> <\/td> \n | 9,522<\/span><\/span><\/p> <\/td> \n <\/tr> \n <\/tbody> \n <\/table> \n<\/div> \n印孚瑟斯及其子公司<\/i><\/b><\/p> \n 未经审计的简明合并中期综合盈余报表<\/i><\/b><\/p> \n (单位:百万美元,股票和每股数据除外)<\/i><\/p> \n \n \n \n \n <\/td> \n | 截至2015年3月31日的3个月<\/span><\/p> <\/td> \n | 截至2014年3月31日的3个月<\/span><\/p> <\/td> \n | 截至2015年3月 31日的1年 <\/span><\/p> <\/td> \n | 截至2014年3月<\/span>31日的1年<\/span><\/p> <\/td> \n <\/tr> \n \n 营收<\/span><\/p> <\/td> \n | 2,159<\/span><\/span><\/p> <\/td> \n | 2,092<\/span><\/span><\/p> <\/td> \n | 8,711<\/span><\/span><\/p> <\/td> \n | 8,249<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 销售成本<\/span><\/p> <\/td> \n | 1,317<\/span><\/span><\/p> <\/td> \n | 1,318<\/span><\/span><\/p> <\/td> \n | 5,374<\/span><\/span><\/p> <\/td> \n | 5,292<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 毛利润<\/span><\/p> <\/td> \n | 842<\/span><\/span><\/p> <\/td> \n | 774<\/span><\/span><\/p> <\/td> \n | 3,337<\/span><\/span><\/p> <\/td> \n | 2,957<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 经营支出:<\/span><\/p> <\/td> \n | <\/td> \n | <\/td> \n | <\/td> \n | <\/td> \n <\/tr> \n | \n 销售与营销支出<\/span><\/p> <\/td> \n | 118<\/span><\/span><\/p> <\/td> \n | 104<\/span><\/span><\/p> <\/td> \n | 480<\/span><\/span><\/p> <\/td> \n | 431<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 管理支出 <\/span><\/p> <\/td> \n | 169<\/span><\/span><\/p> <\/td> \n | 136<\/span><\/span><\/p> <\/td> \n | 599<\/span><\/span><\/p> <\/td> \n | 547<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 经营支出合计<\/span><\/p> <\/td> \n | 287<\/span><\/span><\/p> <\/td> \n | 240<\/span><\/span><\/p> <\/td> \n | 1,079<\/span><\/span><\/p> <\/td> \n | 978<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 经营利润<\/span><\/p> <\/td> \n | 555<\/span><\/span><\/p> <\/td> \n | 534<\/span><\/span><\/p> <\/td> \n | 2,258<\/span><\/span><\/p> <\/td> \n | 1,979<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 其它盈余,净额<\/span><\/p> <\/td> \n | 141<\/span><\/span><\/p> <\/td> \n | 139<\/span><\/span><\/p> <\/td> \n | 560<\/span><\/span><\/p> <\/td> \n | 440<\/span><\/span><\/p> <\/td> \n <\/tr> \n \n 联营公司投资利润\/亏损 <\/span><\/p> <\/td> 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