av/metropolis-healthcare--big.svg

COM:METROPOLISINDIA

Metropolis Healthcare

  • Stock

Last Close

2,061.85

25/11 07:39

Market Cap

105.44B

Beta: -

Volume Today

80.34K

Avg: -

Preview

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Mar '19
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
519.27M
-
748.90M
44.22%
582.66M
22.20%
410.39M
29.57%
399.87M
2.56%
333.97M
16.48%
403.31M
20.76%
357.99M
11.24%
333.55M
6.83%
287.96M
13.67%
354.55M
23.12%
271.58M
23.40%
364.07M
34.05%
379.47M
4.23%
depreciation and amortization
54.52M
-
215.80M
-
230.28M
6.71%
234.35M
1.77%
208.21M
11.15%
222.39M
6.81%
249.91M
12.37%
deferred income tax
-141.90M
-
stock based compensation
2.20M
-
68.57M
-
change in working capital
-55.39M
-
accounts receivables
inventory
13.87M
-
accounts payables
other working capital
-69.26M
-
other non cash items
-3.08M
-
-748.90M
24,199.16%
-582.66M
22.20%
-410.39M
29.57%
-468.44M
14.15%
-333.97M
28.71%
-187.51M
43.85%
-127.71M
31.89%
-99.21M
22.32%
-79.75M
19.61%
-132.16M
65.70%
-21.68M
83.60%
-364.07M
1,579.44%
-379.47M
4.23%
net cash provided by operating activities
375.63M
-
431.60M
-
460.55M
6.71%
468.69M
1.77%
416.41M
11.15%
444.79M
6.81%
499.81M
12.37%
investments in property plant and equipment
-54.95M
-
acquisitions net
32.88M
-
purchases of investments
-122.82M
-
sales maturities of investments
462.08M
-
other investing activites
-4.69M
-
net cash used for investing activites
312.51M
-
debt repayment
-830K
-
common stock issued
-5K
-
common stock repurchased
-35.55M
-
dividends paid
-493.35M
-
other financing activites
-176.77M
-
net cash used provided by financing activities
-706.50M
-
effect of forex changes on cash
-1.73M
-
net change in cash
-20.10M
-
431.60M
-
460.55M
6.71%
468.69M
1.77%
416.41M
11.15%
444.79M
6.81%
499.81M
12.37%
cash at beginning of period
533.81M
-
269.33M
-
700.93M
160.25%
224.40M
67.99%
693.09M
208.87%
64.52M
90.69%
509.30M
689.43%
cash at end of period
513.71M
-
700.93M
-
1.16B
65.71%
693.09M
40.33%
1.11B
60.08%
509.30M
54.10%
1.01B
98.14%
operating cash flow
375.63M
-
431.60M
-
460.55M
6.71%
468.69M
1.77%
416.41M
11.15%
444.79M
6.81%
499.81M
12.37%
capital expenditure
-54.95M
-
free cash flow
320.68M
-
431.60M
-
460.55M
6.71%
468.69M
1.77%
416.41M
11.15%
444.79M
6.81%
499.81M
12.37%

All numbers in (except ratios and percentages)