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COM:EPLGLOBAL

EPL Limited

  • Stock

Last Close

253.20

22/11 09:59

Market Cap

74.08B

Beta: -

Volume Today

761.42K

Avg: -

Preview

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Dec '13
Mar '14
Jun '14
Sep '14
Dec '14
Mar '15
Jun '15
Sep '15
Dec '15
Mar '16
Jun '16
Sep '16
Dec '16
Mar '17
Jun '17
Sep '17
Dec '17
Mar '18
Jun '18
Sep '18
Dec '18
Mar '19
Jun '19
Sep '19
Dec '19
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
net income
283.10M
-
273.43M
3.41%
263.70M
3.56%
384.60M
45.85%
304M
20.96%
454.02M
49.35%
384.10M
15.40%
592.70M
54.31%
429.40M
27.55%
294.80M
31.35%
376.20M
27.61%
707.70M
88.12%
379.50M
46.38%
439.80M
15.89%
342.90M
22.03%
524.90M
53.08%
400.30M
23.74%
447.90M
11.89%
413.30M
7.72%
533.70M
29.13%
454.50M
14.84%
523.80M
15.25%
392.40M
25.09%
592.90M
51.10%
601.10M
1.38%
486.60M
19.05%
444.50M
8.65%
670M
50.73%
709M
5.82%
568M
19.89%
579M
1.94%
507M
12.44%
571M
12.62%
487M
14.71%
334M
31.42%
462M
38.32%
628M
35.93%
843M
34.24%
543M
35.59%
505M
7.00%
861M
70.50%
223M
74.10%
depreciation and amortization
664M
-
699M
5.27%
790M
13.02%
800M
1.27%
836M
4.50%
842M
0.72%
deferred income tax
stock based compensation
69.90M
-
2.80M
-
-34.20M
-
144M
-
123M
-
111M
-
69M
-
change in working capital
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-283.10M
-
-273.43M
3.41%
-263.70M
3.56%
-384.60M
45.85%
-304M
20.96%
-454.02M
49.35%
-384.10M
15.40%
-592.70M
54.31%
-429.40M
27.55%
-364.70M
15.07%
-376.20M
3.15%
-707.70M
88.12%
-379.50M
46.38%
-442.60M
16.63%
-342.90M
22.53%
-524.90M
53.08%
-400.30M
23.74%
-413.70M
3.35%
-413.30M
0.10%
-533.70M
29.13%
-454.50M
14.84%
-523.80M
15.25%
-392.40M
25.09%
-592.90M
51.10%
-601.10M
1.38%
-486.60M
19.05%
-444.50M
8.65%
-670M
50.73%
-709M
5.82%
-712M
0.42%
-579M
18.68%
-507M
12.44%
-571M
12.62%
-610M
6.83%
-334M
45.25%
202M
160.48%
71M
64.85%
-1.63B
2,400%
257M
115.74%
331M
28.79%
-19M
105.74%
-292M
1,436.84%
net cash provided by operating activities
69.90M
-
2.80M
-
-34.20M
-
144M
-
123M
-
1.33B
-
1.40B
5.27%
111M
92.06%
1.60B
1,341.44%
1.67B
4.50%
1.68B
0.72%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
net cash used for investing activites
debt repayment
common stock issued
common stock repurchased
dividends paid
other financing activites
net cash used provided by financing activities
effect of forex changes on cash
net change in cash
69.90M
-
2.80M
-
-34.20M
-
144M
-
123M
-
1.33B
-
1.40B
5.27%
111M
92.06%
1.60B
1,341.44%
1.67B
4.50%
1.68B
0.72%
cash at beginning of period
258M
-
1.59B
514.73%
2.30B
45.15%
2.41B
4.82%
611M
74.68%
2.28B
273.65%
cash at end of period
69.90M
-
2.80M
-
-34.20M
-
144M
-
123M
-
1.59B
-
2.98B
88.15%
2.41B
19.14%
4.01B
66.31%
2.28B
43.11%
3.97B
73.76%
operating cash flow
69.90M
-
2.80M
-
-34.20M
-
144M
-
123M
-
1.33B
-
1.40B
5.27%
111M
92.06%
1.60B
1,341.44%
1.67B
4.50%
1.68B
0.72%
capital expenditure
free cash flow
69.90M
-
2.80M
-
-34.20M
-
144M
-
123M
-
1.33B
-
1.40B
5.27%
111M
92.06%
1.60B
1,341.44%
1.67B
4.50%
1.68B
0.72%

All numbers in (except ratios and percentages)