av/blue-dart-express--big.svg

COM:BLUEDART

Blue Dart Express Ltd.

  • Stock

INR

Last Close

7,500.50

25/11 09:40

Market Cap

204.33B

Beta: -

Volume Today

5.23K

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
1.84B
-
1.94B
5.18%
2.94B
51.66%
2.19B
25.55%
2.17B
0.97%
1.34B
38.18%
-391.20M
129.16%
1.40B
457.34%
5.12B
266.47%
5.08B
0.80%
3.01B
40.77%
depreciation and amortization
272.90M
-
436M
59.77%
820.70M
88.23%
1.04B
26.42%
1.14B
10.31%
1.28B
11.74%
3.62B
183.31%
4.30B
18.68%
3.95B
8.05%
3.94B
0.23%
4.33B
9.73%
deferred income tax
-2.30M
-
stock based compensation
2.30M
-
3.90M
69.57%
21.40M
448.72%
change in working capital
94.20M
-
-112.90M
219.85%
516M
557.04%
-442.50M
185.76%
393.70M
188.97%
286.80M
27.15%
-290M
201.12%
886.20M
405.59%
244.60M
72.40%
-1.04B
526.17%
403.60M
138.72%
accounts receivables
-365.40M
-
-368.10M
0.74%
83.70M
122.74%
-650.10M
876.70%
-638.20M
1.83%
-422.60M
33.78%
inventory
-3.70M
-
-12.30M
232.43%
-26M
111.38%
-44.60M
71.54%
24M
153.81%
-58.90M
345.42%
-20.50M
65.20%
-58.10M
183.41%
-50.70M
12.74%
-61M
20.32%
-147.90M
142.46%
accounts payables
342.30M
-
-353.30M
203.21%
1.08B
406.76%
704.60M
34.99%
52.40M
92.56%
222.20M
324.05%
other working capital
97.90M
-
-100.60M
202.76%
542M
638.77%
-397.90M
173.41%
369.70M
192.91%
368.80M
0.24%
451.90M
22.53%
-223.20M
149.39%
240.80M
207.89%
-395.60M
264.29%
751.90M
290.07%
other non cash items
-1.01B
-
-729.10M
27.90%
-783.60M
7.47%
-536.10M
31.58%
-541.20M
0.95%
-473.80M
12.45%
699.10M
247.55%
917.70M
31.27%
-723.30M
178.82%
-820.90M
13.49%
9.61B
1,270.17%
net cash provided by operating activities
1.20B
-
1.53B
27.79%
3.50B
127.83%
2.25B
35.64%
3.17B
40.74%
2.43B
23.17%
3.64B
49.64%
7.50B
106.03%
8.60B
14.61%
7.17B
16.64%
8.34B
16.40%
investments in property plant and equipment
-342.20M
-
-441.60M
29.05%
-1.16B
163.34%
-1.24B
6.48%
-1.67B
35.00%
-2.87B
71.92%
-1.99B
30.77%
-1.61B
19.28%
-1.75B
8.69%
-5.71B
227.31%
-2.68B
53.17%
acquisitions net
689.80M
-
918.50M
33.15%
-536.80M
158.44%
-706.10M
31.54%
94.20M
113.34%
5.30M
94.37%
1.99B
37,437.74%
1.70M
99.91%
41M
2,311.76%
13.90M
66.10%
62.30M
348.20%
purchases of investments
-19.61B
-
-27.06B
37.97%
-30.52B
12.80%
-38.40B
25.81%
-39.72B
3.43%
-36.33B
8.53%
-28.74B
20.91%
-22.81B
20.62%
-51.05B
123.82%
-71.58B
40.20%
-74.69B
4.34%
sales maturities of investments
19.61B
-
27.06B
37.97%
30.52B
12.79%
38.40B
25.82%
39.72B
3.44%
36.34B
8.52%
28.74B
20.91%
19.10B
33.54%
52.80B
176.40%
72.11B
36.58%
73.48B
1.90%
other investing activites
39.10M
-
-156.80M
501.02%
312.90M
299.55%
-332.40M
206.23%
-323.50M
2.68%
64.20M
119.85%
-1.93B
3,105.14%
24.20M
101.25%
76.30M
215.29%
25.60M
66.45%
-1.07B
4,283.59%
net cash used for investing activites
385.10M
-
318.60M
17.27%
-1.39B
537.01%
-2.28B
63.61%
-1.90B
16.68%
-2.80B
47.54%
-1.93B
31.23%
-5.29B
174.68%
113.10M
102.14%
-5.14B
4,645.45%
-3.82B
25.63%
debt repayment
-600M
-
-2.29B
281%
-1.32B
42.08%
-3.46B
161.45%
-2.35B
32.12%
-3.95B
68.09%
-500M
87.34%
-46.90M
90.62%
common stock issued
common stock repurchased
dividends paid
-2.52B
-
-3.68B
46.22%
-474.60M
87.10%
-711.80M
49.98%
-355.90M
50%
-296.60M
16.66%
-296.60M
0%
-949.10M
-
-830.50M
12.50%
-711.80M
14.29%
other financing activites
-427.70M
-
2.42B
666.40%
-423.80M
117.49%
983.60M
332.09%
1.12B
14.12%
2.41B
114.91%
357.50M
85.18%
-2M
100.56%
-2.82B
140,975%
-1.58B
43.86%
-267.50M
83.11%
net cash used provided by financing activities
-2.94B
-
-1.26B
57.34%
-898.40M
28.43%
-328.20M
63.47%
-1.52B
362.95%
791.70M
152.11%
-3.40B
529.57%
-2.35B
30.84%
-7.72B
228.26%
-2.91B
62.25%
-3.81B
30.76%
effect of forex changes on cash
10.90M
-
net change in cash
-1.36B
-
597.90M
144.06%
1.22B
103.46%
-356M
129.26%
-250.40M
29.66%
424.70M
269.61%
-1.69B
496.89%
-140M
91.69%
990.40M
807.43%
-888M
189.66%
707.40M
179.66%
cash at beginning of period
2.42B
-
1.06B
56.17%
1.66B
56.46%
2.84B
71.56%
2.49B
12.52%
2.24B
10.07%
2.66B
18.99%
975.10M
63.35%
835.10M
14.36%
1.83B
118.60%
955M
47.69%
cash at end of period
1.06B
-
1.66B
56.46%
2.87B
73.42%
2.49B
13.47%
2.24B
10.07%
2.66B
18.99%
975.10M
63.35%
835.10M
14.36%
1.83B
118.60%
937.50M
48.64%
1.66B
77.32%
operating cash flow
1.20B
-
1.53B
27.79%
3.50B
127.83%
2.25B
35.64%
3.17B
40.74%
2.43B
23.17%
3.64B
49.64%
7.50B
106.03%
8.60B
14.61%
7.17B
16.64%
8.34B
16.40%
capital expenditure
-342.20M
-
-441.60M
29.05%
-1.16B
163.34%
-1.24B
6.48%
-1.67B
35.00%
-2.87B
71.92%
-1.99B
30.77%
-1.61B
19.28%
-1.75B
8.69%
-5.71B
227.31%
-2.68B
53.17%
free cash flow
858.70M
-
1.09B
27.29%
2.33B
113.49%
1.01B
56.63%
1.50B
47.77%
-440.50M
129.46%
1.65B
474.94%
5.90B
256.98%
6.85B
16.22%
1.45B
78.78%
5.67B
289.83%

All numbers in INR (except ratios and percentages)