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COM:GODREJAGROVET

Godrej Agrovet

  • Stock

Last Close

715.75

22/11 10:00

Market Cap

155.68B

Beta: -

Volume Today

56.69K

Avg: -

Preview

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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
Jun '24
net income
674.15M
-
712.80M
5.73%
599.20M
15.94%
540.37M
9.82%
1.08B
99.58%
807M
25.17%
495.70M
38.57%
250.80M
49.40%
802.40M
219.94%
941.90M
17.39%
409.20M
56.56%
1.14B
177.76%
760M
33.13%
1.04B
36.84%
516M
50.38%
745.90M
44.55%
885.10M
18.66%
1.07B
20.94%
616M
42.45%
565.90M
8.13%
1.06B
87.28%
1.09B
3.09%
650.60M
40.45%
1.22B
87.96%
827.10M
32.37%
717.60M
13.24%
1.16B
62.24%
310.20M
73.36%
1.05B
239.52%
1.05B
0.06%
918.40M
12.85%
571.30M
37.79%
1.35B
136.57%
depreciation and amortization
216.44M
-
461.10M
-
469.30M
1.78%
475.80M
1.39%
527.90M
10.95%
528.90M
0.19%
530.10M
0.23%
deferred income tax
-233.23M
-
stock based compensation
995.21M
-
1.78M
99.82%
26.30M
-
24.30M
-
28.10M
-
20.50M
-
28.30M
-
30.40M
-
change in working capital
-1.02B
-
accounts receivables
inventory
-714.55M
-
accounts payables
other working capital
-310.08M
-
other non cash items
-674.15M
-
-712.80M
5.73%
-599.20M
15.94%
-1.54B
156.27%
-104.35M
93.20%
-807M
673.36%
-495.70M
38.57%
-277.10M
44.10%
-802.40M
189.57%
-941.90M
17.39%
-409.20M
56.56%
-1.16B
183.70%
-760M
34.53%
-1.04B
36.84%
-516M
50.38%
-774M
50%
-885.10M
14.35%
-1.07B
20.94%
-616M
42.45%
-586.40M
4.81%
-1.06B
80.73%
-1.09B
3.09%
-650.60M
40.45%
-1.25B
92.31%
-827.10M
33.90%
-256.50M
68.99%
-694.90M
170.92%
-786M
13.11%
-525.30M
33.17%
-524.90M
0.08%
-388.30M
26.02%
-571.30M
47.13%
-1.35B
136.57%
net cash provided by operating activities
995.21M
-
167.71M
83.15%
26.30M
-
24.30M
-
28.10M
-
20.50M
-
28.30M
-
922.20M
-
938.60M
1.78%
30.40M
96.76%
1.06B
3,373.03%
1.06B
0.19%
1.06B
0.23%
investments in property plant and equipment
-555.63M
-
acquisitions net
purchases of investments
-120.73M
-
sales maturities of investments
560K
-
other investing activites
11.96M
-
net cash used for investing activites
-663.84M
-
debt repayment
-4.79B
-
common stock issued
120K
-
common stock repurchased
dividends paid
other financing activites
5.12B
-
net cash used provided by financing activities
332.77M
-
effect of forex changes on cash
net change in cash
995.21M
-
-163.36M
116.41%
26.30M
-
24.30M
-
28.10M
-
20.50M
-
28.30M
-
922.20M
-
938.60M
1.78%
30.40M
96.76%
1.06B
3,373.03%
1.06B
0.19%
1.06B
0.23%
cash at beginning of period
538.19M
-
374.83M
30.35%
-20.90M
-
901.30M
4,412.44%
239.50M
73.43%
269.90M
12.69%
-783.60M
390.33%
274.20M
134.99%
cash at end of period
995.21M
-
374.83M
62.34%
374.83M
0%
26.30M
-
24.30M
-
28.10M
-
20.50M
-
28.30M
-
901.30M
-
1.84B
104.14%
269.90M
85.33%
1.33B
391.18%
274.20M
79.32%
1.33B
386.65%
operating cash flow
995.21M
-
167.71M
83.15%
26.30M
-
24.30M
-
28.10M
-
20.50M
-
28.30M
-
922.20M
-
938.60M
1.78%
30.40M
96.76%
1.06B
3,373.03%
1.06B
0.19%
1.06B
0.23%
capital expenditure
-555.63M
-
free cash flow
995.21M
-
-387.92M
138.98%
26.30M
-
24.30M
-
28.10M
-
20.50M
-
28.30M
-
922.20M
-
938.60M
1.78%
30.40M
96.76%
1.06B
3,373.03%
1.06B
0.19%
1.06B
0.23%

All numbers in (except ratios and percentages)