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BSE:JINDALSAW

Jindal Saw Ltd.

  • Stock

INR

Last Close

248.00

02/05 08:51

Market Cap

180.20B

Beta: 0.76

Volume Today

856.41K

Avg: 105.70K

PE Ratio

8.83

PFCF: 8.89

Dividend Yield

0.71%

Payout:0%

Preview

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Jan '15
Mar '15
Jun '15
Sep '15
Jan '16
Mar '16
Jun '16
Jan '17
Mar '17
Jun '17
Jan '18
Mar '18
Jun '18
Sep '18
Jan '19
Mar '19
Jun '19
Sep '19
Jan '20
Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
-366.37M
-
-366.37M
0%
-366.37M
0%
149.51M
140.81%
149.51M
0%
149.51M
0%
225.43M
50.78%
225.43M
0%
927.50M
311.43%
971.80M
4.78%
2.44B
151.18%
5.21B
113.57%
1.31B
74.80%
3.01B
129.15%
1.17B
61.25%
328.01M
71.88%
-92.40M
128.17%
782M
946.32%
657.70M
15.90%
1.84B
179.92%
1.52B
17.38%
1.20B
21.05%
126.40M
89.47%
1.27B
904.19%
48.50M
96.18%
594.20M
1,125.15%
2.14B
260.89%
3.54B
64.93%
2.63B
25.60%
3.76B
42.78%
5.32B
41.47%
5.02B
5.53%
4.41B
12.17%
depreciation and amortization
1.01B
-
1.01B
0%
1.01B
0%
1.01B
0%
822.87M
18.31%
822.87M
0%
822.87M
0%
868.58M
5.55%
868.58M
0%
868.58M
0%
914.73M
5.31%
914.73M
0%
914.73M
0%
990.76M
-
990.76M
0%
990.76M
0%
1.05B
-
1.05B
0%
1.05B
0%
1.05B
0%
1.17B
-
1.18B
0.71%
1.26B
6.38%
1.33B
6.01%
1.43B
7.02%
1.49B
4.22%
deferred income tax
stock based compensation
563K
-
61.40M
-
69.22M
-
change in working capital
-2.63B
-
-2.63B
0%
-2.63B
0%
-2.63B
0%
811.43M
130.83%
811.43M
0%
811.43M
0%
1.29B
59.04%
1.29B
0%
1.29B
0%
-1.07B
183.25%
-1.07B
0%
-1.07B
0%
717.34M
-
717.34M
0%
717.34M
0%
716.34M
-
716.34M
0%
716.34M
0%
716.34M
0%
accounts receivables
inventory
-2.33B
-
-2.33B
0%
-2.33B
0%
-2.33B
0%
1.08B
146.24%
1.08B
0%
1.08B
0%
197.93M
81.62%
197.93M
0%
197.93M
0%
-408.88M
306.58%
-408.88M
0%
-408.88M
0%
-2.01B
-
-2.01B
0%
-2.01B
0%
1.34B
-
1.34B
0%
1.34B
0%
1.34B
0%
accounts payables
other working capital
-303.01M
-
-303.01M
0%
-303.01M
0%
-303.01M
0%
-265.44M
12.40%
-265.44M
0%
-265.44M
0%
1.09B
511.60%
1.09B
0%
1.09B
0%
-665.37M
160.90%
-665.37M
0%
-665.37M
0%
2.72B
-
2.72B
0%
2.72B
0%
-626.30M
-
-626.30M
0%
-626.30M
0%
-626.30M
0%
other non cash items
1.39B
-
1.39B
0%
1.39B
0%
1.39B
0%
1.03B
26.30%
1.03B
0%
1.03B
0%
869.38M
15.21%
869.38M
0%
869.38M
0%
1.35B
54.92%
1.35B
0%
644.79M
52.13%
-971.80M
250.72%
-230.81M
76.25%
-3.00B
1,201.09%
896.50M
129.85%
-3.01B
435.79%
1.22B
140.68%
2.06B
68.48%
2.48B
20.38%
1.61B
35.21%
-657.70M
140.87%
-1.84B
180.00%
-1.52B
17.41%
-1.20B
21.05%
-126.40M
89.47%
-1.33B
952.76%
-48.50M
96.36%
578.50M
1,292.78%
-963.40M
266.53%
-4.79B
397.54%
-1.30B
72.89%
-2.33B
79.43%
-3.83B
64.25%
-5.02B
31.11%
-4.41B
12.17%
net cash provided by operating activities
-233.46M
-
-233.46M
0%
-233.46M
0%
-233.46M
0%
2.29B
1,082.28%
2.29B
0%
2.29B
0%
3.18B
38.58%
3.18B
0%
3.18B
0%
1.41B
55.54%
1.41B
0%
1.41B
0%
3.92B
-
3.92B
0%
3.92B
0%
4.16B
-
4.16B
0%
4.16B
0%
4.16B
0%
563K
-
61.40M
-
2.35B
-
2.36B
0.71%
69.22M
97.07%
2.66B
3,748.14%
2.85B
7.02%
2.97B
4.22%
investments in property plant and equipment
-1.83B
-
-1.83B
0%
-1.83B
0%
-1.83B
0%
-1.29B
29.68%
-1.29B
0%
-1.29B
0%
-729.73M
43.36%
-729.73M
0%
-729.73M
0%
-685.63M
6.04%
-685.63M
0%
-685.63M
0%
-1.30B
-
-1.30B
0%
-1.30B
0%
-1.43B
-
-1.43B
0%
-1.43B
0%
-1.43B
0%
acquisitions net
purchases of investments
-576.29M
-
-576.29M
0%
-576.29M
0%
-576.29M
0%
-60.54M
89.49%
-60.54M
0%
-60.54M
0%
-245.52M
305.54%
-245.52M
0%
-245.52M
0%
-104.87M
57.29%
-104.87M
0%
-104.87M
0%
-17.71M
-
-17.71M
0%
-17.71M
0%
-136.21M
-
-136.21M
0%
-136.21M
0%
-136.21M
0%
sales maturities of investments
369.74M
-
369.74M
0%
369.74M
0%
314.79M
14.86%
314.79M
0%
314.79M
0%
6.61M
97.90%
6.61M
0%
6.61M
0%
28.94M
-
28.94M
0%
28.94M
0%
149.65M
-
149.65M
0%
149.65M
0%
149.65M
0%
other investing activites
2.41B
-
2.41B
0%
2.41B
0%
2.41B
0%
979.06M
59.35%
979.06M
0%
979.06M
0%
660.46M
32.54%
660.46M
0%
660.46M
0%
783.89M
18.69%
783.89M
0%
783.89M
0%
1.28B
-
1.28B
0%
1.28B
0%
1.42B
-
1.42B
0%
1.42B
0%
1.42B
0%
net cash used for investing activites
-2.41B
-
-2.41B
0%
-2.41B
0%
-2.41B
0%
-1.53B
36.65%
-1.53B
0%
-1.53B
0%
-1.17B
23.27%
-1.17B
0%
-1.17B
0%
-660.37M
43.58%
-660.37M
0%
-660.37M
0%
-1.40B
-
-1.40B
0%
-1.40B
0%
-1.37B
-
-1.37B
0%
-1.37B
0%
-1.37B
0%
debt repayment
-1.56B
-
-1.56B
0%
-1.56B
0%
-2.57B
65.22%
-2.57B
0%
-2.57B
0%
-2.22B
13.62%
-2.22B
0%
-2.22B
0%
-1.19B
-
-1.19B
0%
-1.19B
0%
-815.78M
-
-815.78M
0%
-815.78M
0%
-815.78M
0%
common stock issued
common stock repurchased
-2.40M
-
-2.40M
0%
-2.40M
0%
dividends paid
-79.84M
-
-79.84M
0%
-79.84M
0%
-79.84M
0%
-90.71M
13.61%
-90.71M
0%
-90.71M
0%
-95.36M
5.12%
-95.36M
0%
-95.36M
0%
-88.00M
7.72%
-88.00M
0%
-88.00M
0%
-122.31M
-
-122.31M
0%
-122.31M
0%
-191.26M
-
-191.26M
0%
-191.26M
0%
-191.26M
0%
other financing activites
79.84M
-
79.84M
0%
79.84M
0%
79.84M
0%
1.65B
1,965.39%
1.65B
0%
1.65B
0%
2.67B
61.68%
2.67B
0%
2.67B
0%
2.31B
13.41%
2.31B
0%
2.31B
0%
1.31B
-
1.31B
0%
1.31B
0%
1.01B
-
1.01B
0%
1.01B
0%
1.01B
0%
net cash used provided by financing activities
274.08M
-
274.08M
0%
274.08M
0%
274.08M
0%
-1.75B
738.45%
-1.75B
0%
-1.75B
0%
-3.22B
84.15%
-3.22B
0%
-3.22B
0%
-2.26B
29.95%
-2.26B
0%
-2.26B
0%
-1.31B
-
-1.31B
0%
-1.31B
0%
-980.77M
-
-980.77M
0%
-980.77M
0%
-980.77M
0%
effect of forex changes on cash
114.90M
-
114.90M
0%
114.90M
0%
114.90M
0%
-45.44M
139.55%
-45.44M
0%
-45.44M
0%
-110.15M
142.41%
-110.15M
0%
-110.15M
0%
19.46M
117.67%
19.46M
0%
19.46M
0%
-1.03B
-
-1.03B
0%
-1.03B
0%
238.62M
-
238.62M
0%
238.62M
0%
238.62M
0%
net change in cash
518.44M
-
518.44M
0%
518.44M
0%
518.44M
0%
-280.58M
154.12%
-280.58M
0%
-280.58M
0%
-200.33M
28.60%
-200.33M
0%
-200.33M
0%
-63.01M
68.55%
-63.01M
0%
-63.01M
0%
180.66M
-
180.66M
0%
180.66M
0%
71.11M
-
71.11M
0%
71.11M
0%
71.11M
0%
563K
-
61.40M
-
2.35B
-
2.36B
0.71%
69.22M
97.07%
2.66B
3,748.14%
2.85B
7.02%
2.97B
4.22%
cash at beginning of period
355.00M
-
355.00M
0%
355.00M
0%
355.00M
0%
726.12M
104.54%
726.12M
0%
726.12M
0%
443.63M
38.90%
443.63M
0%
443.63M
0%
243.30M
45.16%
243.30M
0%
243.30M
0%
180.29M
-
180.29M
0%
180.29M
0%
360.95M
-
360.95M
0%
360.95M
0%
360.95M
0%
1.62B
-
3.96B
144.81%
824.56M
79.20%
893.79M
8.40%
-100.20M
111.21%
2.75B
2,845.11%
cash at end of period
873.44M
-
873.44M
0%
873.44M
0%
873.44M
0%
445.54M
48.99%
445.54M
0%
445.54M
0%
243.30M
45.39%
243.30M
0%
243.30M
0%
180.29M
25.90%
180.29M
0%
180.29M
0%
360.95M
-
360.95M
0%
360.95M
0%
432.07M
-
432.07M
0%
432.07M
0%
432.07M
0%
563K
-
61.40M
-
3.96B
-
6.33B
59.57%
893.79M
85.87%
3.56B
298.04%
2.75B
22.68%
5.72B
108.01%
operating cash flow
-233.46M
-
-233.46M
0%
-233.46M
0%
-233.46M
0%
2.29B
1,082.28%
2.29B
0%
2.29B
0%
3.18B
38.58%
3.18B
0%
3.18B
0%
1.41B
55.54%
1.41B
0%
1.41B
0%
3.92B
-
3.92B
0%
3.92B
0%
4.16B
-
4.16B
0%
4.16B
0%
4.16B
0%
563K
-
61.40M
-
2.35B
-
2.36B
0.71%
69.22M
97.07%
2.66B
3,748.14%
2.85B
7.02%
2.97B
4.22%
capital expenditure
-1.83B
-
-1.83B
0%
-1.83B
0%
-1.83B
0%
-1.29B
29.68%
-1.29B
0%
-1.29B
0%
-729.73M
43.36%
-729.73M
0%
-729.73M
0%
-685.63M
6.04%
-685.63M
0%
-685.63M
0%
-1.30B
-
-1.30B
0%
-1.30B
0%
-1.43B
-
-1.43B
0%
-1.43B
0%
-1.43B
0%
free cash flow
-2.07B
-
-2.07B
0%
-2.07B
0%
-2.07B
0%
1.00B
148.66%
1.00B
0%
1.00B
0%
2.45B
143.61%
2.45B
0%
2.45B
0%
727.14M
70.30%
727.14M
0%
727.14M
0%
2.62B
-
2.62B
0%
2.62B
0%
2.73B
-
2.73B
0%
2.73B
0%
2.73B
0%
563K
-
61.40M
-
2.35B
-
2.36B
0.71%
69.22M
97.07%
2.66B
3,748.14%
2.85B
7.02%
2.97B
4.22%

All numbers in INR (except ratios and percentages)