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COM:FIEMINDUSTRIES

Fiem Industries Limited

  • Stock

Last Close

1,643.95

08/11 09:59

Market Cap

35.73B

Beta: -

Volume Today

41.66K

Avg: -

Preview

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Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
528.16M
-
608.76M
15.26%
793.70M
30.38%
457.55M
42.35%
816.34M
78.42%
870.00M
6.57%
868.54M
0.17%
649.44M
25.23%
1.29B
98.58%
1.89B
46.26%
1.66B
12.15%
depreciation and amortization
217.90M
-
307.23M
41.00%
331.20M
7.80%
392.89M
18.63%
443.26M
12.82%
489.27M
10.38%
532.03M
8.74%
572.34M
7.58%
590.01M
3.09%
633.90M
7.44%
586.52M
7.47%
deferred income tax
stock based compensation
change in working capital
-2.96M
-
-77.34M
2,516.09%
126.40M
263.43%
-665.03M
626.13%
-4.35M
99.35%
-172.51M
3,864.95%
701.70M
506.75%
97.76M
86.07%
-670.52M
785.85%
-738.09M
10.08%
-654.60M
11.31%
accounts receivables
-32.54M
-
696.46M
2,240.50%
-164.88M
123.67%
-942.68M
471.72%
272.56M
128.91%
-524.55M
292.45%
inventory
63.20M
-
-90.33M
242.91%
-147.42M
63.20%
-362.94M
146.20%
-378.46M
4.28%
-69.71M
81.58%
181.51M
360.38%
121.44M
33.09%
-677.91M
658.21%
90.39M
113.33%
-286.61M
417.06%
accounts payables
-89.95M
-
-216.35M
140.52%
51.37M
123.74%
889.11M
1,630.79%
-955.33M
207.45%
250.48M
126.22%
other working capital
-66.16M
-
12.98M
119.62%
273.82M
2,008.89%
-302.09M
210.33%
374.11M
223.84%
19.69M
94.74%
40.09M
103.64%
89.83M
124.08%
60.97M
32.13%
-145.71M
338.97%
-93.92M
35.54%
other non cash items
24.46M
-
-17.62M
172.02%
-32.16M
82.55%
192.29M
697.98%
-8.43M
104.38%
25.19M
398.75%
-29.00M
215.15%
39.85M
237.40%
-286.60M
819.15%
-473.13M
65.08%
1.63B
444.57%
net cash provided by operating activities
767.56M
-
821.03M
6.97%
1.22B
48.49%
377.70M
69.02%
1.25B
230.11%
1.21B
2.80%
2.07B
71.07%
1.36B
34.43%
922.54M
32.14%
1.31B
41.88%
1.49B
13.50%
investments in property plant and equipment
-476.62M
-
-589.82M
23.75%
-1.09B
85.53%
-1.16B
5.95%
-1.15B
0.42%
-743.05M
35.64%
-482.13M
35.11%
-199.37M
58.65%
-192.97M
3.21%
-551.72M
185.90%
-842.90M
52.78%
acquisitions net
68.53M
-
9.31M
86.42%
1.59M
82.96%
568.15M
35,723.14%
260M
54.24%
4.56M
98.25%
purchases of investments
-100K
-
-833.27M
833,170.87%
-259.48M
-
-3.34M
98.71%
-5.82M
74.12%
-568.94M
9,677.28%
-147K
99.97%
sales maturities of investments
669.99M
-
190.96M
71.50%
-9.31M
104.87%
4.23M
145.47%
785K
81.46%
828.94M
105,497.45%
148K
99.98%
other investing activites
70.04M
-
3.48M
95.03%
12.98M
272.75%
44.22M
240.64%
40.84M
7.66%
-63.28M
254.96%
17.50M
127.66%
46.12M
163.54%
-544.50M
1,280.65%
-152.05M
72.08%
net cash used for investing activites
-406.58M
-
-586.34M
44.21%
-1.08B
84.44%
-1.95B
80.18%
-443.71M
77.23%
-806.32M
81.72%
-467.97M
41.96%
-153.25M
67.25%
-737.48M
381.23%
385.03M
152.21%
-838.19M
317.69%
debt repayment
-285.71M
-
-314.73M
10.16%
-318.89M
1.32%
-309.24M
3.03%
-388.48M
25.62%
-110.84M
71.47%
-774.29M
598.56%
-410.25M
47.02%
-302.77M
26.20%
-204.92M
32.32%
common stock issued
1.17B
-
common stock repurchased
935.80M
-
dividends paid
-47.85M
-
-71.77M
50%
-143.55M
100%
-35.89M
75%
-105.28M
193.37%
-223.72M
112.50%
-184.24M
17.65%
-39.48M
78.57%
-210.56M
433.34%
-263.20M
25.00%
-394.80M
50.00%
other financing activites
-22.96M
-
166.31M
824.43%
335.15M
101.52%
-7.31M
102.18%
-521.51M
7,038.41%
-46.38M
91.11%
-222.32M
379.33%
-121.58M
45.31%
-92.76M
23.70%
-81.41M
12.24%
net cash used provided by financing activities
-356.51M
-
-220.20M
38.24%
-127.29M
42.19%
1.76B
1,480.80%
-1.02B
157.76%
-380.94M
62.48%
-1.18B
209.98%
-571.31M
51.62%
-606.08M
6.09%
-549.53M
9.33%
-416.22M
24.26%
effect of forex changes on cash
-189.96K
-
-341.42K
79.73%
424.03K
224.20%
-648.79K
253.01%
572K
188.16%
-325K
156.82%
2.99M
1,020.00%
-522K
117.46%
341K
165.33%
2.69M
690.03%
-1M
137.12%
net change in cash
4.27M
-
14.16M
231.30%
10.85M
23.38%
186.23M
1,617.14%
-211.59M
213.62%
24.35M
111.51%
427.44M
1,655.25%
634.32M
48.40%
-420.67M
166.32%
1.15B
372.67%
229.95M
79.95%
cash at beginning of period
15.95M
-
20.22M
26.78%
34.38M
69.99%
45.22M
31.55%
229.26M
406.93%
17.66M
92.29%
42.02M
137.85%
469.46M
1,017.30%
1.10B
135.12%
683.10M
38.11%
1.83B
168.07%
cash at end of period
20.22M
-
34.38M
69.99%
45.22M
31.55%
231.45M
411.78%
17.66M
92.37%
42.02M
137.85%
469.46M
1,017.30%
1.10B
135.12%
683.10M
38.11%
1.83B
167.92%
2.06B
12.62%
operating cash flow
767.56M
-
821.03M
6.97%
1.22B
48.49%
377.70M
69.02%
1.25B
230.11%
1.21B
2.80%
2.07B
71.07%
1.36B
34.43%
922.54M
32.14%
1.31B
41.88%
1.49B
13.50%
capital expenditure
-476.62M
-
-589.82M
23.75%
-1.09B
85.53%
-1.16B
5.95%
-1.15B
0.42%
-743.05M
35.64%
-482.13M
35.11%
-199.37M
58.65%
-192.97M
3.21%
-551.72M
185.90%
-842.90M
52.78%
free cash flow
290.93M
-
231.21M
20.53%
124.83M
46.01%
-781.72M
726.23%
92.28M
111.80%
468.89M
408.13%
1.59B
239.34%
1.16B
27.09%
729.57M
37.11%
757.15M
3.78%
642.60M
15.13%

All numbers in (except ratios and percentages)