av/hdfc-life--big.svg

COM:HDFCLIFE

HDFC Life Insurance Company Limited

  • Stock

INR

Last Close

688.20

25/11 09:40

Market Cap

1.36T

Beta: -

Volume Today

3.18M

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
7.25B
-
7.86B
8.30%
8.17B
3.98%
8.87B
8.59%
11.07B
24.84%
12.78B
15.42%
12.97B
1.53%
13.61B
4.89%
13.27B
2.49%
13.68B
3.12%
15.74B
15.04%
depreciation and amortization
455.08M
-
465.03M
2.19%
506.12M
8.83%
523.83M
3.50%
439.80M
16.04%
deferred income tax
-108.02B
-
-82.95B
23.21%
-105.62B
27.33%
-71.54B
32.26%
-112.42B
57.13%
stock based compensation
279.47M
-
483.92M
73.16%
526.00M
8.69%
226.41M
56.96%
493.61M
118.02%
change in working capital
108.02B
-
82.95B
23.21%
105.62B
27.33%
71.54B
32.26%
112.42B
57.13%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-7.25B
-
-7.86B
8.30%
-8.17B
3.98%
-8.87B
8.59%
-11.07B
24.84%
85.17B
869.23%
59.95B
29.61%
82.39B
37.42%
45.41B
44.89%
54.22B
19.40%
254.83B
370.02%
net cash provided by operating activities
7.25B
-
7.86B
8.30%
8.17B
3.98%
8.87B
8.59%
11.07B
24.84%
98.68B
791.28%
73.88B
25.14%
97.03B
31.34%
59.43B
38.75%
68.83B
15.83%
270.57B
293.08%
investments in property plant and equipment
-406.50M
-
-1.08B
165.76%
-342.50M
68.30%
-479.10M
39.88%
-338.77M
29.29%
-451.31M
33.22%
-385.83M
14.51%
-612.11M
58.65%
-566.36M
7.47%
-875.70M
54.62%
-1.36B
55.25%
acquisitions net
320.80M
-
-774.70M
341.49%
333.20M
143.01%
455.80M
36.79%
301.81M
33.78%
-591.35M
295.93%
-2.18B
268.19%
-1.24B
43.02%
-6.28B
406.51%
-3.12B
50.35%
16.10M
100.52%
purchases of investments
-336.04B
-
-412.97B
22.89%
-458.31B
10.98%
-1.42T
209.85%
-606.29B
57.31%
-3.78T
524.05%
-1.07T
71.79%
-940.48B
11.88%
-1.05T
11.22%
-1.12T
7.26%
-1.27T
13.51%
sales maturities of investments
258.44B
-
351.05B
35.84%
384.41B
9.50%
1.33T
246.56%
514.82B
61.36%
3.63T
604.42%
928.72B
74.39%
769.47B
17.15%
933.82B
21.36%
891.17B
4.57%
978.53B
9.80%
other investing activites
22.67B
-
28.62B
26.25%
34.32B
19.91%
36.15B
5.33%
47.29B
30.82%
56.27B
18.97%
63.03B
12.02%
83.41B
32.32%
103.20B
23.73%
133.92B
29.76%
-3.12B
102.33%
net cash used for investing activites
-55.02B
-
-35.14B
36.12%
-39.59B
12.65%
-51.75B
30.72%
-44.21B
14.57%
-101.82B
130.30%
-78.07B
23.33%
-89.46B
14.60%
-15.86B
82.28%
-100.87B
536.18%
-299.52B
196.93%
debt repayment
-83.39M
-
-6B
-
-3.50B
-
common stock issued
36.70M
-
288.90M
687.19%
1.32B
358.62%
597.46M
54.91%
327.71M
45.15%
763.17M
132.88%
2.10B
175.57%
20.34B
867.14%
737M
96.38%
common stock repurchased
-4.95M
-
-3.50B
-
dividends paid
-1.17B
-
-1.68B
43.59%
-2.16B
28.97%
-2.64B
22.39%
-3.29B
24.34%
-3.96B
20.55%
-4.48B
-
-3.99B
10.98%
other financing activites
83.39M
-
51.99M
37.66%
12.02B
23,019.72%
10.50B
-
-4.77B
145.44%
net cash used provided by financing activities
-1.17B
-
-1.68B
43.59%
-2.12B
26.78%
-2.36B
10.90%
-1.96B
16.66%
-3.37B
71.72%
379.70M
111.26%
6.78B
1,686.40%
-2.38B
135.12%
19.85B
933.26%
-4.03B
120.32%
effect of forex changes on cash
46.97B
-
36.74B
21.77%
-29.30M
100.08%
-20.60M
29.69%
2.39M
111.60%
-2.44M
202.22%
175.54M
7,285.35%
-53.95M
130.74%
61.08M
213.21%
160.60M
162.95%
36.90B
22,874.18%
net change in cash
-1.96B
-
7.77B
496.10%
15.13B
94.61%
8.17B
45.98%
21.22B
159.61%
-6.51B
130.67%
-3.73B
42.74%
14.29B
483.53%
41.25B
188.56%
-12.03B
129.18%
3.91B
132.48%
cash at beginning of period
17.70B
-
15.74B
11.09%
23.51B
49.40%
38.64B
64.35%
46.82B
21.15%
68.04B
45.33%
61.53B
9.57%
57.89B
5.91%
72.18B
24.69%
120.24B
66.58%
11.68B
90.29%
cash at end of period
15.74B
-
23.51B
49.40%
38.64B
64.35%
46.82B
21.15%
68.04B
45.33%
61.53B
9.57%
57.80B
6.06%
72.18B
24.89%
113.43B
57.14%
108.21B
4.61%
15.59B
85.60%
operating cash flow
7.25B
-
7.86B
8.30%
8.17B
3.98%
8.87B
8.59%
11.07B
24.84%
98.68B
791.28%
73.88B
25.14%
97.03B
31.34%
59.43B
38.75%
68.83B
15.83%
270.57B
293.08%
capital expenditure
-406.50M
-
-1.08B
165.76%
-342.50M
68.30%
-479.10M
39.88%
-338.77M
29.29%
-451.31M
33.22%
-385.83M
14.51%
-612.11M
58.65%
-566.36M
7.47%
-875.70M
54.62%
-1.36B
55.25%
free cash flow
6.85B
-
6.77B
1.05%
7.83B
15.51%
8.39B
7.22%
10.73B
27.93%
98.23B
815.21%
73.49B
25.19%
96.42B
31.20%
58.86B
38.95%
67.96B
15.46%
269.21B
296.15%

All numbers in INR (except ratios and percentages)