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COM:NAZARA

Nazara Technologies Ltd.

  • Stock

INR

Last Close

920.05

25/11 09:40

Market Cap

69.47B

Beta: -

Volume Today

786.56K

Avg: -

Preview

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Jun '17
Sep '17
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
99.22M
-
99.22M
0%
-32.98M
133.24%
-279M
745.97%
245M
187.81%
102M
58.37%
31M
69.61%
53M
70.97%
101M
90.57%
85M
15.84%
45M
47.06%
115M
155.56%
102M
11.30%
181M
77.45%
-4M
102.21%
195M
4,975%
198.20M
1.64%
252.90M
27.60%
1.80M
99.29%
226.30M
12,472.22%
depreciation and amortization
1.83M
-
1.83M
0%
103M
-
126M
22.33%
160M
26.98%
152.10M
4.94%
150.80M
0.85%
152M
0.80%
deferred income tax
36.32M
-
36.32M
0%
stock based compensation
23.77M
-
23.77M
0%
7M
-
33M
-
11M
-
change in working capital
-60.09M
-
-60.09M
0%
accounts receivables
-60.09M
-
-60.09M
0%
inventory
accounts payables
other working capital
other non cash items
-23.00M
-
-23.00M
0%
32.98M
243.36%
279M
745.97%
-245M
187.81%
-102M
58.37%
-38M
62.75%
-53M
39.47%
-101M
90.57%
-85M
15.84%
-78M
8.24%
-115M
47.44%
1M
100.87%
-55M
5,600%
-156M
183.64%
-42.90M
72.50%
-47.40M
10.49%
-100.90M
112.87%
-1.80M
98.22%
-226.30M
12,472.22%
net cash provided by operating activities
41.73M
-
41.73M
0%
7M
-
33M
-
206M
-
252M
22.33%
11M
95.63%
304.20M
2,665.45%
301.60M
0.85%
304M
0.80%
investments in property plant and equipment
-2.04M
-
-2.04M
0%
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
71.13M
-
71.13M
0%
net cash used for investing activites
69.09M
-
69.09M
0%
debt repayment
common stock issued
common stock repurchased
dividends paid
-150.19M
-
-150.19M
0%
other financing activites
net cash used provided by financing activities
-150.19M
-
-150.19M
0%
effect of forex changes on cash
net change in cash
-39.37M
-
-39.37M
0%
7M
-
33M
-
206M
-
252M
22.33%
11M
95.63%
304.20M
2,665.45%
301.60M
0.85%
304M
0.80%
cash at beginning of period
1.39B
-
1.60B
14.79%
1.46B
8.69%
1.47B
0.75%
4.76B
223.82%
5.07B
6.33%
cash at end of period
-39.37M
-
-39.37M
0%
7M
-
33M
-
1.60B
-
1.85B
15.76%
1.47B
20.53%
1.78B
20.68%
5.07B
185.32%
5.37B
6.00%
operating cash flow
41.73M
-
41.73M
0%
7M
-
33M
-
206M
-
252M
22.33%
11M
95.63%
304.20M
2,665.45%
301.60M
0.85%
304M
0.80%
capital expenditure
-2.04M
-
-2.04M
0%
free cash flow
39.70M
-
39.70M
0%
7M
-
33M
-
206M
-
252M
22.33%
11M
95.63%
304.20M
2,665.45%
301.60M
0.85%
304M
0.80%

All numbers in INR (except ratios and percentages)