OILC

COM:OCTLINDIA

Oil Country Tubular Limited

  • Stock

Last Close

60.32

25/11 08:38

Market Cap

1.73B

Beta: -

Volume Today

135.85K

Avg: -

Preview

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Dec '13
Mar '14
Jun '14
Sep '14
Dec '14
Mar '15
Jun '15
Sep '15
Dec '15
Mar '16
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
108.13M
-
145.97M
34.99%
-27.80M
119.04%
-88.76M
219.29%
24.30M
127.38%
71.36M
193.67%
-111.75M
256.60%
-65.49M
41.39%
21.97M
133.54%
89.30M
306.55%
-135.65M
251.90%
-92.72M
31.65%
-115.13M
24.16%
-550.80M
378.42%
-80.22M
85.44%
-87.94M
9.63%
-103.02M
17.15%
-100.21M
2.72%
-106.24M
6.02%
-118.82M
11.84%
-601.02M
-
-80.78M
86.56%
-129.62M
60.47%
-165.81M
27.92%
-242.53M
46.27%
-112.61M
53.57%
-121.44M
7.84%
-113.66M
6.41%
-161.06M
41.71%
-131.65M
18.26%
-117.94M
10.41%
-126.31M
7.10%
-137.33M
8.72%
-143.57M
4.55%
1.41B
1,080.32%
-78.67M
105.59%
-138.47M
76.01%
-187.14M
35.15%
-148.36M
20.72%
-161.47M
8.84%
-146.40M
9.34%
-98.06M
33.02%
depreciation and amortization
53.49M
-
53.23M
0.50%
51.84M
-
53.53M
3.27%
47.34M
-
47.38M
0.10%
156.50M
230.31%
178.97M
14.35%
129.55M
27.61%
226.35M
74.72%
deferred income tax
stock based compensation
change in working capital
247.43M
-
231.97M
6.25%
89.65M
-
175.32M
95.57%
accounts receivables
inventory
325.77M
-
72.67M
77.69%
20.70M
-
48.38M
133.79%
accounts payables
other working capital
-78.34M
-
159.30M
303.34%
68.95M
-
126.94M
84.10%
other non cash items
-108.13M
-
-145.97M
34.99%
27.80M
119.04%
88.76M
219.29%
-24.30M
127.38%
-71.36M
193.67%
111.75M
256.60%
65.49M
41.39%
-21.97M
133.54%
-89.30M
306.55%
135.65M
251.90%
92.72M
31.65%
115.13M
24.16%
550.80M
378.42%
80.22M
85.44%
87.94M
9.63%
103.02M
17.15%
100.21M
2.72%
106.24M
6.02%
118.82M
11.84%
48.47M
59.21%
31.84M
34.31%
80.78M
153.70%
129.62M
60.47%
47.98M
62.98%
56.93M
18.66%
112.61M
97.79%
121.44M
7.84%
113.66M
6.41%
161.06M
41.71%
131.65M
18.26%
117.94M
10.41%
126.31M
7.10%
137.33M
8.72%
143.57M
4.55%
-1.36B
1,047.35%
126.06M
109.27%
294.98M
134.01%
366.11M
24.11%
277.91M
24.09%
387.82M
39.55%
146.40M
62.25%
98.06M
33.02%
net cash provided by operating activities
349.39M
-
-283.99M
181.28%
23.66M
-
43.25M
82.85%
94.67M
-
94.76M
0.10%
313.01M
230.31%
357.93M
14.35%
259.09M
27.61%
452.69M
74.72%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
net cash used for investing activites
725K
-
-122K
116.83%
71K
-
-8.15M
11,585.92%
debt repayment
common stock issued
common stock repurchased
dividends paid
other financing activites
net cash used provided by financing activities
-43.78M
-
7.67M
117.51%
-23.68M
-
-35.54M
50.12%
effect of forex changes on cash
net change in cash
306.33M
-
-276.44M
190.24%
49K
-
-448K
1,014.29%
94.67M
-
94.76M
0.10%
313.01M
230.31%
357.93M
14.35%
259.09M
27.61%
452.69M
74.72%
cash at beginning of period
3.08M
-
309.41M
9,936.10%
692K
-
741K
7.08%
295K
60.19%
-93.59M
-
1.09M
101.16%
-310.37M
28,679.10%
2.64M
100.85%
-233.25M
8,945.28%
25.84M
111.08%
cash at end of period
309.41M
-
32.97M
89.34%
741K
-
293K
60.46%
295K
0.68%
1.09M
-
95.85M
8,725.78%
2.64M
97.25%
360.57M
13,573.53%
25.84M
92.83%
478.53M
1,751.77%
operating cash flow
349.39M
-
-283.99M
181.28%
23.66M
-
43.25M
82.85%
94.67M
-
94.76M
0.10%
313.01M
230.31%
357.93M
14.35%
259.09M
27.61%
452.69M
74.72%
capital expenditure
free cash flow
349.39M
-
-283.99M
181.28%
23.66M
-
43.25M
82.85%
94.67M
-
94.76M
0.10%
313.01M
230.31%
357.93M
14.35%
259.09M
27.61%
452.69M
74.72%

All numbers in (except ratios and percentages)