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BSE:HFCL

HFCL

  • Stock

INR

Last Close

79.39

02/05 08:51

Market Cap

179.04B

Beta: 0.97

Volume Today

5.58M

Avg: 1.68M

PE Ratio

45.18

PFCF: 45.52

Dividend Yield

0.22%

Payout:0%

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Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
3.12B
-
1.26B
59.58%
1.26B
0.04%
2.22B
76.47%
3.39B
52.70%
3.58B
5.62%
3.37B
6.00%
4.42B
31.25%
4.31B
2.61%
3.30B
23.41%
depreciation and amortization
342.10M
-
263.30M
23.03%
217.50M
17.39%
232.20M
6.76%
269.60M
16.11%
428.50M
58.94%
686.30M
60.16%
782.50M
14.02%
829.90M
6.06%
817.60M
1.48%
deferred income tax
-132.30M
-
-885.20M
569.09%
-172.70M
80.49%
stock based compensation
41.90M
-
75.10M
79.24%
38.90M
48.20%
-86.80M
323.14%
change in working capital
-1.92B
-
-4.05B
111.26%
-325.60M
91.95%
-63.50M
80.50%
-4.11B
6,371.97%
-2.68B
34.87%
-5.11B
91.04%
-4.02B
21.40%
-3.08B
23.43%
-5.77B
87.40%
accounts receivables
-3.53B
-
-1.72B
51.24%
-13.31B
672.23%
5.59B
141.98%
1.91B
65.78%
-4.19B
319.25%
inventory
-860.40M
-
-397.90M
53.75%
308.30M
177.48%
318M
3.15%
-509.60M
260.25%
-791.50M
55.32%
-915.90M
15.72%
-1.38B
50.79%
-1.84B
33.57%
-165.80M
91.01%
accounts payables
3.02B
-
-497.60M
116.48%
9.33B
1,974.44%
-7.11B
176.23%
-1.32B
81.42%
-703.90M
46.71%
other working capital
-1.05B
-
-3.65B
245.87%
-633.90M
82.62%
-381.50M
39.82%
-3.08B
708.49%
335.60M
110.88%
-217.20M
164.72%
-1.12B
413.44%
-1.82B
63.54%
-706.80M
61.25%
other non cash items
-248.80M
-
1.53B
716.04%
205.70M
86.58%
-319.70M
255.42%
918.70M
387.36%
1.15B
24.97%
1.76B
53.38%
961.60M
45.39%
306M
68.18%
6.37B
1,982.19%
net cash provided by operating activities
1.29B
-
-990.20M
176.50%
1.36B
237.01%
2.07B
52.64%
381.10M
81.60%
1.67B
339.04%
568.20M
66.04%
2.06B
262.34%
2.36B
14.83%
-1.98B
183.63%
investments in property plant and equipment
-179.40M
-
-588M
227.76%
-354.60M
39.69%
-408.40M
15.17%
-1.77B
333.55%
-1.68B
5.18%
-1.06B
36.82%
-1.83B
72.59%
-3.42B
86.57%
-4.10B
20.05%
acquisitions net
75.30M
-
154.30M
-
300K
-
6M
1,900%
-130.30M
2,271.67%
-120M
7.90%
323.30M
369.42%
5M
98.45%
purchases of investments
-558.20M
-
-59.70M
-
-23.90M
59.97%
87M
-
-2.52B
2,998.74%
-539.30M
-
sales maturities of investments
207.90M
-
1.36B
553.63%
3M
99.78%
331.30M
-
2.53B
-
89.50M
96.46%
other investing activites
-400K
-
504.50M
126,225%
132.10M
-
225.20M
70.48%
54.40M
75.84%
3.30M
93.93%
-105.80M
3,306.06%
120.10M
213.52%
19.80M
83.51%
net cash used for investing activites
-454.80M
-
1.28B
380.43%
-257M
120.15%
-300.20M
16.81%
-1.55B
414.69%
-1.62B
4.74%
-769.40M
52.46%
-4.58B
495.06%
-446.30M
90.25%
-4.53B
913.96%
debt repayment
-449.50M
-
-345.70M
23.09%
-1.43B
314.23%
-1.37B
4.20%
-536.80M
60.87%
-616.10M
14.77%
-738.30M
19.83%
-2.43B
229.34%
-1.28B
47.44%
-2.29B
79.17%
common stock issued
100K
-
180M
-
465M
158.33%
75M
83.87%
6.06B
-
312.80M
94.84%
4.17B
1,233.44%
common stock repurchased
-57.30M
-
-603.70M
-
dividends paid
-196M
-
-26.20M
86.63%
-88.60M
-
-153.20M
72.91%
-190.50M
-
-244.50M
28.35%
-285.50M
16.77%
other financing activites
-33.40M
-
43.50M
230.24%
300.70M
591.26%
27.80M
90.75%
1.44B
5,071.94%
628.70M
56.27%
988.10M
57.17%
-957.30M
196.88%
-238.40M
75.10%
2.60B
1,192.53%
net cash used provided by financing activities
-736.10M
-
-328.40M
55.39%
-1.13B
244.49%
-1.16B
2.90%
673.70M
157.87%
-65.60M
109.74%
249.80M
480.79%
2.48B
892.19%
-1.45B
158.42%
6.11B
521.72%
effect of forex changes on cash
48.60M
-
net change in cash
103.40M
-
5.40M
94.78%
-31.60M
685.19%
606.60M
2,019.62%
-490.30M
180.83%
-10.80M
97.80%
48.60M
550%
-41.10M
184.57%
469.80M
1,243.07%
2.72B
478.65%
cash at beginning of period
162.20M
-
265.60M
63.75%
90.70M
65.85%
59.10M
34.84%
665.60M
1,026.23%
175.30M
73.66%
164.40M
6.22%
213.10M
29.62%
166.90M
21.68%
645M
286.46%
cash at end of period
265.60M
-
271M
2.03%
59.10M
78.19%
665.70M
1,026.40%
175.30M
73.67%
164.50M
6.16%
213M
29.48%
172M
19.25%
636.70M
270.17%
3.36B
428.27%
operating cash flow
1.29B
-
-990.20M
176.50%
1.36B
237.01%
2.07B
52.64%
381.10M
81.60%
1.67B
339.04%
568.20M
66.04%
2.06B
262.34%
2.36B
14.83%
-1.98B
183.63%
capital expenditure
-179.40M
-
-588M
227.76%
-354.60M
39.69%
-408.40M
15.17%
-1.77B
333.55%
-1.68B
5.18%
-1.06B
36.82%
-1.83B
72.59%
-3.42B
86.57%
-4.10B
20.05%
free cash flow
1.11B
-
-1.58B
241.56%
1.00B
163.50%
1.66B
65.90%
-1.39B
183.58%
-5.60M
99.60%
-492.50M
8,694.64%
228.10M
146.31%
-1.05B
560.98%
-6.08B
477.97%

All numbers in INR (except ratios and percentages)