av/jindal-saw--big.svg

COM:JINDALSAW

Jindal Saw Ltd.

  • Stock

INR

Last Close

297.00

25/11 09:40

Market Cap

180.20B

Beta: -

Volume Today

872.67K

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
-855.42M
-
258.93M
130.27%
-1.47B
665.99%
598.03M
140.81%
901.73M
50.78%
9.76B
982.81%
4.67B
52.21%
4.99B
7.00%
6.21B
24.47%
7.10B
14.24%
16.77B
136.20%
depreciation and amortization
3.21B
-
4.03B
25.42%
3.29B
18.31%
3.47B
5.55%
3.66B
5.31%
3.96B
8.31%
4.22B
6.40%
4.59B
8.82%
4.73B
3.08%
4.71B
0.47%
5.68B
20.65%
deferred income tax
-563K
-
stock based compensation
563K
-
61.40M
10,806.04%
69.20M
12.70%
454.10M
556.21%
change in working capital
-4.04B
-
-10.53B
160.87%
3.25B
130.83%
5.16B
59.04%
-4.30B
183.25%
2.87B
166.78%
2.87B
0.14%
3.99B
39.17%
-12.34B
409.36%
593.40M
104.81%
-5.33B
998.10%
accounts receivables
-3.91B
-
3.81B
197.38%
-2.00B
152.57%
3.09B
254.39%
-12.34B
499.66%
-3.33B
73.02%
inventory
-1.33B
-
-9.32B
599.51%
4.31B
146.24%
791.72M
81.62%
-1.64B
306.58%
-8.02B
390.50%
5.37B
166.95%
-2.46B
145.86%
-8.18B
232.28%
-3.12B
61.86%
-6.96B
122.85%
accounts payables
13.41B
-
-4.19B
131.27%
6.78B
261.74%
-4.54B
167.02%
16.84B
470.64%
-68.80M
100.41%
other working capital
-2.70B
-
-1.21B
55.17%
-1.06B
12.40%
4.37B
511.60%
-2.66B
160.90%
1.39B
152.35%
-2.12B
252.07%
1.67B
178.88%
-2.70B
261.42%
-782.57M
70.99%
5.03B
742.21%
other non cash items
2.76B
-
5.31B
91.96%
4.10B
22.71%
3.48B
15.21%
5.39B
54.92%
-923.23M
117.14%
4.90B
630.55%
2.00B
59.12%
2.07B
3.16%
3.70B
79.33%
24.29B
555.91%
net cash provided by operating activities
1.09B
-
-933.84M
186.01%
9.17B
1,082.28%
12.71B
38.58%
5.65B
55.54%
15.67B
177.35%
16.65B
6.21%
15.57B
6.46%
734.73M
95.28%
16.17B
2,101.39%
19.70B
21.80%
investments in property plant and equipment
-7.06B
-
-7.33B
3.81%
-5.15B
29.68%
-2.92B
43.36%
-2.74B
6.04%
-5.18B
88.94%
-5.72B
10.33%
-4.03B
29.43%
-4.53B
12.40%
-3.23B
28.88%
-8.63B
167.59%
acquisitions net
58.32M
-
-220.05M
477.31%
1.38B
726.60%
424.22M
69.23%
1.00B
135.86%
1.33B
32.67%
1.01B
23.94%
867.41M
14.09%
-10.83B
1,348.10%
purchases of investments
-2.31B
-
-242.17M
89.49%
-982.09M
305.54%
-419.47M
57.29%
-70.83M
83.11%
-544.84M
669.17%
-1.36B
149.73%
-917.11M
32.60%
-919.20M
0.23%
-552.80M
39.86%
sales maturities of investments
829.53M
-
1.48B
-
1.26B
14.86%
26.45M
97.90%
115.77M
337.72%
598.61M
417.07%
637.88M
6.56%
716.11M
12.26%
763.70M
6.65%
549.90M
28.00%
other investing activites
76.66M
-
1.08B
1,303.18%
-1.12B
204.36%
-1.39B
24.13%
553.83M
139.75%
-448.68M
181.01%
-22.88M
94.90%
-30.24M
32.19%
1.81B
6,095.88%
1.81B
0.09%
-132.20M
107.30%
net cash used for investing activites
-6.15B
-
-8.56B
39.08%
-4.98B
41.80%
-4.26B
14.56%
-1.20B
71.73%
-5.16B
329.06%
-4.69B
9.21%
-3.46B
26.15%
-1.91B
44.71%
-701.60M
63.33%
-19.59B
2,692.36%
debt repayment
-6.22B
-
-10.28B
65.22%
-8.88B
13.62%
-4.77B
46.33%
-3.26B
31.55%
-6.66B
104.09%
-7.27B
9.23%
-5.07B
30.28%
-7.97B
57.18%
common stock issued
1.88B
-
-1.91M
-
-794K
58.32%
30.24M
3,908.56%
35.03M
15.83%
common stock repurchased
-9.59M
-
1.91M
-
-74.90M
4,031.71%
-30.24M
59.63%
-35.03M
15.83%
dividends paid
-320.56M
-
-319.37M
0.37%
-362.83M
13.61%
-381.43M
5.12%
-352.00M
7.72%
-489.23M
38.99%
-765.03M
56.38%
-630.00M
17.65%
-630.73M
0.12%
-631M
0.04%
-1.00B
58.64%
other financing activites
3.91B
-
11.81B
201.93%
-403.29M
103.41%
1.42B
452.44%
4.54B
219.37%
-4.51B
199.41%
-7.58B
67.91%
-1.02B
86.51%
8.51B
933.23%
-13.98B
264.21%
-200.20M
98.57%
net cash used provided by financing activities
3.59B
-
11.49B
219.99%
-5.12B
144.56%
-9.24B
80.49%
-4.70B
49.20%
-9.77B
108.05%
-11.68B
19.57%
-8.31B
28.84%
610.01M
107.34%
-19.68B
3,326.96%
6.52B
133.14%
effect of forex changes on cash
-1.27M
-
-155K
87.84%
-193.50M
124,740.65%
-14.29M
92.61%
-4.64M
67.54%
22.39M
582.56%
4.45M
80.13%
-8.77M
297.14%
15.41M
275.82%
21.60M
40.13%
3.60M
83.33%
net change in cash
-1.48B
-
2.07B
240.40%
-1.12B
154.12%
-801.30M
28.60%
-252.04M
68.55%
722.64M
386.72%
284.46M
60.64%
3.79B
1,232.66%
-552.90M
114.59%
-4.19B
657.93%
8.05B
292.15%
cash at beginning of period
2.90B
-
1.42B
50.99%
2.90B
104.54%
1.77B
38.90%
973.20M
45.16%
721.16M
25.90%
1.44B
100.20%
1.73B
19.70%
5.52B
219.34%
4.97B
10.02%
893.79M
82.00%
cash at end of period
1.42B
-
3.49B
146.04%
1.78B
48.99%
973.20M
45.39%
721.16M
25.90%
1.44B
100.20%
1.73B
19.70%
5.52B
219.34%
4.97B
10.02%
775.60M
84.38%
8.95B
1,053.46%
operating cash flow
1.09B
-
-933.84M
186.01%
9.17B
1,082.28%
12.71B
38.58%
5.65B
55.54%
15.67B
177.35%
16.65B
6.21%
15.57B
6.46%
734.73M
95.28%
16.17B
2,101.39%
19.70B
21.80%
capital expenditure
-7.06B
-
-7.33B
3.81%
-5.15B
29.68%
-2.92B
43.36%
-2.74B
6.04%
-5.18B
88.94%
-5.72B
10.33%
-4.03B
29.43%
-4.53B
12.40%
-3.23B
28.88%
-8.63B
167.59%
free cash flow
-5.97B
-
-8.26B
38.31%
4.02B
148.66%
9.79B
143.61%
2.91B
70.30%
10.49B
260.71%
10.93B
4.17%
11.54B
5.56%
-3.80B
132.94%
12.95B
440.76%
11.07B
14.51%

All numbers in INR (except ratios and percentages)