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BSE:IBULHSGFIN

Indiabulls Housing Finance Limited

  • Stock

INR

Last Close

164.40

25/07 10:00

Market Cap

123.25B

Beta: 1.28

Volume Today

4.97M

Avg: 1.30M

PE Ratio

7.47

PFCF: 4.83

Dividend Yield

0.77%

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
24.73B
-
31.29B
26.55%
37.72B
20.55%
49.76B
31.91%
56.04B
12.63%
25.61B
54.30%
15.62B
39.02%
15.56B
0.38%
16.06B
3.24%
12.17B
24.23%
depreciation and amortization
187.61M
-
203.61M
8.53%
231.21M
13.56%
370.52M
60.25%
427.50M
15.38%
1.08B
152.26%
967M
10.33%
773.70M
19.99%
855.70M
10.60%
846.20M
1.11%
deferred income tax
41.20B
-
32.28B
21.65%
41.40B
28.23%
24.23B
41.48%
29.10B
20.14%
26.08B
10.38%
18.79B
27.94%
stock based compensation
4.47M
-
3.37M
24.61%
2.42M
28.07%
1.61M
33.54%
778.80M
48,284.15%
296.90M
61.88%
-70.90M
123.88%
-91.20M
28.63%
-26.20M
71.27%
221M
943.51%
change in working capital
-109.62B
-
-143.36B
30.78%
-213.78B
49.12%
-271.02B
26.78%
173.27B
163.93%
174.84B
0.91%
57.85B
66.91%
-2.98B
105.15%
27.32B
1,016.69%
-37.26B
236.35%
accounts receivables
166.42B
-
-4.74B
102.85%
6.16B
229.98%
320M
94.80%
-9.14B
2,954.75%
-19.80B
116.69%
inventory
accounts payables
6.85B
-
2.24B
67.34%
6.68B
198.86%
-39.78B
695.46%
10.01B
125.16%
-17.46B
274.44%
other working capital
177.34B
-
45.01B
74.62%
36.48B
18.94%
26.45B
27.50%
other non cash items
-4.22B
-
-4.57B
8.32%
-36.20B
691.85%
-50.93B
40.70%
-59.85B
17.51%
-32.74B
45.30%
-32.58B
0.49%
-32.77B
0.59%
-23.00B
29.82%
94.05B
508.93%
net cash provided by operating activities
-88.92B
-
-116.43B
30.94%
-170.82B
46.71%
-239.54B
40.23%
212.06B
188.53%
193.31B
8.84%
70.89B
63.33%
6.57B
90.73%
40.01B
508.81%
30.86B
22.86%
investments in property plant and equipment
-334.53M
-
-350.50M
4.78%
-560.63M
59.95%
-461.69M
17.65%
-893.90M
93.61%
-345.80M
61.32%
-476.70M
37.85%
-200.40M
57.96%
-493.60M
146.31%
-587M
18.92%
acquisitions net
17.92M
-
-6.64B
37,152.15%
-6.52M
99.90%
2.30B
35,406.48%
-100K
100.00%
-6.82B
6,823,000%
53.80M
100.79%
281.60M
423.42%
79.30M
71.84%
72.40M
8.70%
purchases of investments
-13.30B
-
-44.47B
234.32%
-26.50B
40.40%
-49.55B
-
-49.36B
0.38%
-53.80M
99.89%
-11.95B
22,102.60%
-6.51B
45.46%
-6.66B
2.27%
sales maturities of investments
15.25M
-
1.04B
6,717.84%
-1.23B
218.24%
49.55B
-
132.14B
166.67%
52.00B
60.65%
11.66B
77.57%
6.44B
44.82%
other investing activites
-590.10M
-
377.17M
163.92%
-720.74M
291.09%
2.89B
500.68%
-41.31B
1,530.51%
7.04B
117.04%
-20.50B
391.10%
16.69B
181.43%
9.34B
44.06%
-760.30M
108.14%
net cash used for investing activites
-14.19B
-
-50.04B
252.59%
-29.02B
42.01%
4.73B
116.29%
-42.20B
992.66%
82.65B
295.83%
31.03B
62.45%
16.49B
46.86%
8.84B
46.37%
-16.19B
283.15%
debt repayment
-12.19B
-
-116.46B
-
-281.45B
141.68%
-108.28B
61.53%
-74.13B
31.54%
-90.84B
22.54%
-38.60B
57.50%
common stock issued
4.76B
-
41.50B
772.65%
791.78M
98.09%
892.04M
12.66%
238.80M
73.23%
49.90M
79.10%
6.62B
13,172.75%
2.20M
99.97%
10.20M
363.64%
16.00B
156,727.45%
common stock repurchased
251.08B
-
116.22B
-
281.40B
142.14%
101.66B
63.88%
90.83B
-
dividends paid
-14.26B
-
-21.42B
50.23%
-13.78B
35.69%
-20.99B
52.36%
-20.57B
2.00%
-15.93B
22.58%
-4.17B
73.84%
-6.30M
-
-589.30M
9,253.97%
other financing activites
116.50B
-
133.22B
14.36%
4.05M
100.00%
246.09B
6,074,106.24%
-52.78B
121.45%
-263.42B
399.08%
-102.15B
61.22%
-317.90M
99.69%
-91.41B
28,654.99%
net cash used provided by financing activities
106.99B
-
153.30B
43.28%
225.91B
47.36%
225.99B
0.04%
-73.35B
132.46%
-279.34B
280.83%
-106.32B
61.94%
-74.44B
29.98%
-91.42B
22.80%
-23.83B
73.94%
effect of forex changes on cash
net change in cash
3.88B
-
-13.18B
439.58%
26.07B
297.87%
-8.83B
133.85%
96.50B
1,193.50%
-3.38B
103.50%
-4.40B
30.22%
-51.38B
1,066.61%
-42.57B
17.16%
-8.08B
81.02%
cash at beginning of period
66.74B
-
63.88B
4.28%
50.78B
20.51%
51.35B
1.13%
42.52B
17.19%
139.03B
226.94%
135.65B
2.43%
131.24B
3.25%
79.86B
39.15%
52.32B
34.48%
cash at end of period
70.62B
-
50.70B
28.20%
76.85B
51.56%
42.53B
44.66%
139.03B
226.92%
135.65B
2.43%
131.24B
3.25%
79.86B
39.15%
37.29B
53.30%
44.24B
18.63%
operating cash flow
-88.92B
-
-116.43B
30.94%
-170.82B
46.71%
-239.54B
40.23%
212.06B
188.53%
193.31B
8.84%
70.89B
63.33%
6.57B
90.73%
40.01B
508.81%
30.86B
22.86%
capital expenditure
-334.53M
-
-350.50M
4.78%
-560.63M
59.95%
-461.69M
17.65%
-893.90M
93.61%
-345.80M
61.32%
-476.70M
37.85%
-200.40M
57.96%
-493.60M
146.31%
-587M
18.92%
free cash flow
-89.25B
-
-116.78B
30.84%
-171.38B
46.75%
-240.00B
40.04%
211.17B
187.98%
192.96B
8.62%
70.41B
63.51%
6.37B
90.95%
39.52B
520.21%
30.28B
23.38%

All numbers in INR (except ratios and percentages)