COM:BLUESTARINDIA
Blue Star
- Stock
Last Close
1,835.80
22/11 10:00
Market Cap
361.66B
Beta: -
Volume Today
155.47K
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
Mar '14 | Mar '15 | Mar '16 | Mar '17 | Mar '18 | Mar '19 | Mar '20 | Mar '21 | Mar '22 | Mar '23 | Mar '24 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|
net income | 761.62M - | 426.52M 44.00% | 1.35B 217.46% | 1.59B 17.15% | 2.01B 26.54% | 2.51B 25.11% | 2.06B 17.98% | 1.45B 29.54% | 2.50B 72.10% | 5.55B 122.32% | 4.15B 25.29% | |
depreciation and amortization | 378.43M - | 431.45M 14.01% | 604.77M 40.17% | 605.79M 0.17% | 638.10M 5.33% | 749M 17.38% | 879.90M 17.48% | 922.90M 4.89% | 859.80M 6.84% | 847.80M 1.40% | 975.10M 15.02% | |
deferred income tax | 119.42M - | -246.10M 306.07% | ||||||||||
stock based compensation | 24.25M - | 7.60M 68.66% | ||||||||||
change in working capital | -688.45M - | 543.11M 178.89% | 1.03B 89.41% | -560.50M 154.49% | -1.94B 246.96% | -431.80M 77.80% | 2.07B 579.74% | 1.05B 49.25% | -2.32B 320.83% | -2.08B 10.61% | -2.76B 33.22% | |
accounts receivables | -1.83B - | 2.29B 225.51% | -128.40M 105.60% | -3.95B 2,973.44% | -4.06B 2.89% | -4.79B 17.95% | ||||||
inventory | -735.04M - | -203.87M 72.26% | -616.01M 202.16% | -608.18M 1.27% | -2.38B 290.54% | 1.48B 162.21% | -5M 100.34% | -126M 2,420% | -2.62B 1,977.94% | -2.89B 10.43% | 262.20M 109.07% | |
accounts payables | 259.80M - | 509.90M 96.27% | 533M 4.53% | 4.56B 755.85% | 4.89B 7.10% | 1.61B 67.15% | ||||||
other working capital | 46.60M - | 746.98M 1,502.96% | 1.64B 120.18% | 47.68M 97.10% | 430.50M 802.89% | -341.70M 179.37% | -727.20M 112.82% | 772.70M 206.26% | -318.80M 141.26% | -9.40M 97.05% | 157M 1,770.21% | |
other non cash items | 214.35M - | 748.23M 249.07% | -568.59M 175.99% | -189.97M 66.59% | -223.70M 17.75% | -195M 12.83% | -437.10M 124.15% | 72.40M 116.56% | -118.30M 263.40% | -1.85B 1,465.93% | 4.86B 362.44% | |
net cash provided by operating activities | 665.95M - | 2.15B 222.74% | 2.42B 12.54% | 1.59B 34.46% | 238.50M 84.96% | 2.63B 1,004.23% | 4.57B 73.69% | 3.50B 23.53% | 918M 73.76% | 2.47B 169.48% | 2.35B 5.02% | |
investments in property plant and equipment | -399.43M - | -601.61M 50.62% | -549.74M 8.62% | -1.07B 95.47% | -993.20M 7.57% | -1.03B 3.48% | -860.40M 16.29% | -635.20M 26.17% | -2.18B 243.10% | -3.60B 65.35% | -4.41B 22.37% | |
acquisitions net | 1.73B - | -54M - | 191.30M 454.26% | 46.30M 75.80% | 34.80M 24.84% | 1.78B - | 50.70M 97.16% | |||||
purchases of investments | -775M - | -1.61B - | -44.60M - | -192.40M 331.39% | -2.79B 1,350.42% | -1.78B - | -57.38B 3,119.48% | |||||
sales maturities of investments | 775M - | 86.85M - | 1.59B 1,732.91% | 100K 99.99% | -146.70M 146,800% | 146.10M 199.59% | 880.40M 502.60% | 1.37B 55.27% | 254.80M 81.36% | 56.37B 22,024.18% | ||
other investing activites | 511.47M - | 114.90M 77.53% | -99.50M 186.59% | 176.97M 277.86% | 122.20M 30.95% | 329.60M 169.72% | -21.90M 106.64% | 114.90M 624.66% | 122.30M 6.44% | 1.53B 1,152.82% | 31.30M 97.96% | |
net cash used for investing activites | 112.03M - | -486.70M 534.42% | -443.01M 8.98% | 694.30M 256.73% | -924.90M 233.21% | -698.20M 24.51% | -882.30M 26.37% | -2.40B 171.53% | -690.10M 71.19% | -1.82B 163.24% | -5.34B 193.91% | |
debt repayment | -25.99B - | -19.59B 24.64% | -1.76B 91.02% | -50.30M 97.14% | -273.50M 443.74% | -31.10M 88.63% | -532.40M 1,611.90% | -32M 93.99% | -1.75B 5,368.75% | -4.16B 137.55% | ||
common stock issued | 4.35M - | 66.90M 1,437.55% | 129.10M 92.98% | 98.20M 23.93% | 9.83B - | |||||||
common stock repurchased | 18.83B - | 273.50M - | ||||||||||
dividends paid | -269.20M - | -392.99M 45.99% | -1.07B 171.21% | -18.26M 98.29% | -864.70M 4,634.45% | -1.15B 33.40% | -2.30B 99.51% | -12.40M 99.46% | -387.70M 3,026.61% | -963.70M 148.57% | -1.16B 20.17% | |
other financing activites | -146.83M - | 24.48B 16,772.78% | -226.75M 100.93% | -320.08M 41.16% | 1.27B 497.93% | -752.60M 159.09% | 663.50M 188.16% | -150.90M 122.74% | -448M 196.89% | 1.80B 502.43% | 8.73B 384.04% | |
net cash used provided by financing activities | -416.03M - | -1.90B 357.52% | -2.05B 7.57% | -2.03B 0.83% | 487.80M 124.02% | -1.81B 470.62% | -1.67B 7.68% | -695.70M 58.32% | -867.70M 24.72% | -910.80M 4.97% | 4.28B 570.33% | |
effect of forex changes on cash | 323K - | -481K 248.92% | 233K 148.44% | 11.10M - | 17M 53.15% | 30.40M 78.82% | 3.90M 87.17% | |||||
net change in cash | 362.28M - | -241.28M 166.60% | 95.15M 139.43% | 249.10M 161.80% | -198.60M 179.73% | 127.50M 164.20% | 2.02B 1,486.59% | 417.80M 79.35% | -622.80M 249.07% | -223.20M 64.16% | 1.30B 682.89% | |
cash at beginning of period | 165.36M - | 684.47M 313.93% | 443.19M 35.25% | 148.91M 66.40% | 398M 167.28% | 711.10M 78.67% | 838.60M 17.93% | 2.86B 241.22% | 3.28B 14.60% | 2.66B 18.99% | 2.47B 6.92% | |
cash at end of period | 527.64M - | 443.19M 16.01% | 538.34M 21.47% | 398.00M 26.07% | 199.40M 49.90% | 838.60M 320.56% | 2.86B 241.22% | 3.28B 14.60% | 2.66B 18.99% | 2.43B 8.40% | 3.77B 55.09% | |
operating cash flow | 665.95M - | 2.15B 222.74% | 2.42B 12.54% | 1.59B 34.46% | 238.50M 84.96% | 2.63B 1,004.23% | 4.57B 73.69% | 3.50B 23.53% | 918M 73.76% | 2.47B 169.48% | 2.35B 5.02% | |
capital expenditure | -399.43M - | -601.61M 50.62% | -549.74M 8.62% | -1.07B 95.47% | -993.20M 7.57% | -1.03B 3.48% | -860.40M 16.29% | -635.20M 26.17% | -2.18B 243.10% | -3.60B 65.35% | -4.41B 22.37% | |
free cash flow | 266.52M - | 1.55B 480.70% | 1.87B 20.77% | 510.71M 72.68% | -754.70M 247.77% | 1.61B 312.77% | 3.71B 131.27% | 2.86B 22.91% | -1.26B 144.06% | -1.13B 10.43% | -2.06B 82.32% |
All numbers in (except ratios and percentages)