COM:BANDHANBANK
Bandhan Bank
- Stock
Last Close
165.86
22/11 10:00
Market Cap
316.91B
Beta: -
Volume Today
5.27M
Avg: -
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 | Sep '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 | ||
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net income | 5.76M - | 5.76M 0% | 5.76M 0% | 5.76M 0% | 1.03B 17,839.70% | 1.03B 0% | 1.03B 0% | 4.26B 312.20% | 3.22B 24.34% | 3.27B 1.29% | 3.31B 1.39% | 5.14B 55.24% | 3.88B 24.54% | 4.82B 24.20% | 4.88B 1.23% | 7.53B 54.47% | 6.51B 13.59% | 7.01B 7.72% | 9.72B 38.60% | 10.13B 4.28% | 5.17B 48.95% | 5.50B 6.29% | 9.20B 67.33% | 6.33B 31.24% | 1.03B 83.71% | 3.73B 262.10% | -30.09B 906.42% | 8.59B 128.55% | 19.02B 121.47% | 8.87B 53.40% | 2.09B 76.39% | 2.91B 38.85% | 8.08B 178.17% | 7.21B 10.79% | 7.21B 0.02% | 7.33B 1.60% | 546.26M 92.54% | 10.63B 1,846.81% | |
depreciation and amortization | 10K - | 10K 0% | 10K 0% | 10K 0% | 89.44M 894,250% | 89.44M 0% | 89.44M 0% | 167.13M 86.87% | 167.13M 0% | 167.13M 0% | 214.81M - | 214.81M 0% | 214.81M 0% | 195.43M - | 195.43M 0% | 195.43M 0% | 200.64M - | 200.64M 0% | 200.64M 0% | 200.64M 0% | |||||||||||||||||||
deferred income tax | |||||||||||||||||||||||||||||||||||||||
stock based compensation | 52.40M - | 67.06M - | |||||||||||||||||||||||||||||||||||||
change in working capital | 15.29M - | 15.29M 0% | 15.29M 0% | 15.29M 0% | 16.87B 110,217.60% | 16.87B 0% | 16.87B 0% | 19.02B 12.70% | 19.02B 0% | 19.02B 0% | -10.76B - | -10.76B 0% | -10.76B 0% | 510.94M - | 510.94M 0% | 510.94M 0% | 6.71B - | 6.71B 0% | 6.71B 0% | 6.71B 0% | |||||||||||||||||||
accounts receivables | |||||||||||||||||||||||||||||||||||||||
inventory | |||||||||||||||||||||||||||||||||||||||
accounts payables | |||||||||||||||||||||||||||||||||||||||
other working capital | |||||||||||||||||||||||||||||||||||||||
other non cash items | -19.88M - | -19.88M 0% | -19.88M 0% | -19.88M 0% | -622.30M 3,029.89% | -622.30M 0% | -622.30M 0% | -1.23B 97.96% | -194.82M 84.19% | -236.33M 21.30% | -3.31B 1,301.00% | -1.08B 67.50% | 185.20M 117.21% | -753.35M 506.77% | -4.88B 547.31% | -903.68M 81.47% | 120.24M 113.31% | -382.45M 418.07% | -9.72B 2,440.97% | -842.21M 91.33% | 4.12B 589.01% | 3.79B 7.90% | 91.19M 97.60% | -6.33B 7,036.72% | -1.03B 83.71% | -3.73B 262.10% | 30.09B 906.42% | -8.59B 128.55% | -19.08B 122.08% | -8.87B 53.53% | -2.09B 76.39% | -2.91B 38.85% | -8.08B 178.17% | -7.21B 10.79% | -7.21B 0.02% | -7.33B 1.60% | -546.26M 92.54% | -10.63B 1,846.81% | |
net cash provided by operating activities | 1.19M - | 1.19M 0% | 1.19M 0% | 1.19M 0% | 17.37B 1,466,059.28% | 17.37B 0% | 17.37B 0% | 22.21B 27.85% | 22.21B 0% | 22.21B 0% | -6.48B - | -6.48B 0% | -6.48B 0% | 7.34B - | 7.34B 0% | 7.34B 0% | 16.21B - | 16.21B 0% | 16.21B 0% | 16.21B 0% | 52.40M - | 67.06M - | |||||||||||||||||
investments in property plant and equipment | -252.84M - | -252.84M 0% | -252.84M 0% | -252.84M 0% | -400.38M 58.35% | -400.38M 0% | -400.38M 0% | -204.46M 48.93% | -204.46M 0% | -204.46M 0% | -180.66M - | -180.66M 0% | -180.66M 0% | -428.35M - | -428.35M 0% | -428.35M 0% | -257.99M - | -257.99M 0% | -257.99M 0% | -257.99M 0% | |||||||||||||||||||
acquisitions net | |||||||||||||||||||||||||||||||||||||||
purchases of investments | -5.81B - | -5.81B 0% | -5.81B 0% | -6.47B 11.32% | -6.47B 0% | -6.47B 0% | -5.07B - | -5.07B 0% | -5.07B 0% | -6.44B - | -6.44B 0% | -6.44B 0% | -14.22B - | -14.22B 0% | -14.22B 0% | -14.22B 0% | |||||||||||||||||||||||
sales maturities of investments | |||||||||||||||||||||||||||||||||||||||
other investing activites | 252.84M - | 252.84M 0% | 252.84M 0% | 252.84M 0% | 6.22B 2,358.19% | 6.22B 0% | 6.22B 0% | 6.68B 7.44% | 6.68B 0% | 6.68B 0% | 5.25B - | 5.25B 0% | 5.25B 0% | 6.87B - | 6.87B 0% | 6.87B 0% | 14.47B - | 14.47B 0% | 14.47B 0% | 14.47B 0% | |||||||||||||||||||
net cash used for investing activites | -255.96M - | -255.96M 0% | -255.96M 0% | -255.96M 0% | -6.21B 2,327.23% | -6.21B 0% | -6.21B 0% | -6.68B 7.48% | -6.68B 0% | -6.68B 0% | -5.59B - | -5.59B 0% | -5.59B 0% | -6.53B - | -6.53B 0% | -6.53B 0% | -14.47B - | -14.47B 0% | -14.47B 0% | -14.47B 0% | |||||||||||||||||||
debt repayment | -15.68B - | -15.68B 0% | -15.68B 0% | -5.19B 66.90% | -5.19B 0% | -5.19B 0% | -1.86B - | -1.86B 0% | -1.86B 0% | -250M - | -250M 0% | -250M 0% | |||||||||||||||||||||||||||
common stock issued | 1.25B - | 1.25B 0% | 1.25B 0% | 1.25B 0% | 6.38B 409.02% | 6.38B 0% | 6.38B 0% | 9.16B - | 9.16B 0% | 9.16B 0% | 12.51M - | 12.51M 0% | 12.51M 0% | 22.37M - | 22.37M 0% | 22.37M 0% | 22.37M 0% | ||||||||||||||||||||||
common stock repurchased | |||||||||||||||||||||||||||||||||||||||
dividends paid | -359.50M - | -359.50M 0% | -359.50M 0% | -1.52B - | -1.52B 0% | -1.52B 0% | -1.52B 0% | ||||||||||||||||||||||||||||||||
other financing activites | -1.25B - | -1.25B 0% | -1.25B 0% | -1.25B 0% | 9.30B 842.70% | 9.30B 0% | 9.30B 0% | 5.19B 44.21% | 5.19B 0% | 5.19B 0% | -7.30B - | -7.30B 0% | -7.30B 0% | 596.99M - | 596.99M 0% | 596.99M 0% | 1.50B - | 1.50B 0% | 1.50B 0% | 1.50B 0% | |||||||||||||||||||
net cash used provided by financing activities | 1.25B - | 1.25B 0% | 1.25B 0% | 1.25B 0% | -9.30B 842.70% | -9.30B 0% | -9.30B 0% | -5.19B 44.21% | -5.19B 0% | -5.19B 0% | 7.30B - | 7.30B 0% | 7.30B 0% | -579.25M - | -579.25M 0% | -579.25M 0% | -1.71B - | -1.71B 0% | -1.71B 0% | -1.71B 0% | |||||||||||||||||||
effect of forex changes on cash | 5.07B - | 5.07B 0% | 5.07B 0% | 133.46M 97.37% | 133.46M 0% | 133.46M 0% | -193.74M - | -193.74M 0% | -193.74M 0% | 841.25M - | 841.25M 0% | 841.25M 0% | 6.36B - | 6.36B 0% | 6.36B 0% | 6.36B 0% | |||||||||||||||||||||||
net change in cash | 997.85M - | 997.85M 0% | 997.85M 0% | 997.85M 0% | 6.93B 594.78% | 6.93B 0% | 6.93B 0% | 10.48B 51.15% | 10.48B 0% | 10.48B 0% | -4.97B - | -4.97B 0% | -4.97B 0% | 1.07B - | 1.07B 0% | 1.07B 0% | 6.38B - | 6.38B 0% | 6.38B 0% | 6.38B 0% | 52.40M - | 67.06M - | |||||||||||||||||
cash at beginning of period | 2.18M - | 2.18M 0% | 2.18M 0% | 2.18M 0% | 1.00B 45,825.49% | 1.00B 0% | 1.00B 0% | 7.93B 693.26% | 7.93B 0% | 7.93B 0% | 18.41B - | 18.41B 0% | 18.41B 0% | 13.44B - | 13.44B 0% | 13.44B 0% | 14.51B - | 14.51B 0% | 14.51B 0% | 14.51B 0% | |||||||||||||||||||
cash at end of period | 1.00B - | 1.00B 0% | 1.00B 0% | 1.00B 0% | 7.93B 693.26% | 7.93B 0% | 7.93B 0% | 18.41B 132.10% | 18.41B 0% | 18.41B 0% | 13.44B - | 13.44B 0% | 13.44B 0% | 14.51B - | 14.51B 0% | 14.51B 0% | 20.88B - | 20.88B 0% | 20.88B 0% | 20.88B 0% | 52.40M - | 67.06M - | |||||||||||||||||
operating cash flow | 1.19M - | 1.19M 0% | 1.19M 0% | 1.19M 0% | 17.37B 1,466,059.28% | 17.37B 0% | 17.37B 0% | 22.21B 27.85% | 22.21B 0% | 22.21B 0% | -6.48B - | -6.48B 0% | -6.48B 0% | 7.34B - | 7.34B 0% | 7.34B 0% | 16.21B - | 16.21B 0% | 16.21B 0% | 16.21B 0% | 52.40M - | 67.06M - | |||||||||||||||||
capital expenditure | -252.84M - | -252.84M 0% | -252.84M 0% | -252.84M 0% | -400.38M 58.35% | -400.38M 0% | -400.38M 0% | -204.46M 48.93% | -204.46M 0% | -204.46M 0% | -180.66M - | -180.66M 0% | -180.66M 0% | -428.35M - | -428.35M 0% | -428.35M 0% | -257.99M - | -257.99M 0% | -257.99M 0% | -257.99M 0% | |||||||||||||||||||
free cash flow | -251.65M - | -251.65M 0% | -251.65M 0% | -251.65M 0% | 16.97B 6,844.86% | 16.97B 0% | 16.97B 0% | 22.01B 29.66% | 22.01B 0% | 22.01B 0% | -6.67B - | -6.67B 0% | -6.67B 0% | 6.91B - | 6.91B 0% | 6.91B 0% | 15.95B - | 15.95B 0% | 15.95B 0% | 15.95B 0% | 52.40M - | 67.06M - |
All numbers in (except ratios and percentages)