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COM:PRESTIGECONSTRUCTIONS

Prestige Group

  • Stock

Last Close

1,649.85

22/11 10:00

Market Cap

708.60B

Beta: -

Volume Today

441.85K

Avg: -

Preview

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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
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Mar '19
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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
1.29B
-
1.01B
21.79%
636M
36.84%
3.17B
398.05%
477.90M
84.91%
645.10M
34.99%
683M
5.88%
843M
23.43%
939M
11.39%
809M
13.84%
894M
10.51%
1.07B
19.80%
1.22B
13.54%
968M
20.39%
581M
39.98%
1.39B
139.41%
1.15B
17.11%
1.11B
4.08%
1.62B
46.29%
154M
90.48%
16M
89.61%
596M
3,625%
587M
1.51%
26.62B
4,435.60%
573M
97.85%
759M
32.46%
933M
22.92%
9.23B
889.82%
2.05B
77.81%
1.41B
31.33%
1.28B
9.17%
4.68B
266.51%
2.67B
43.02%
8.51B
218.81%
1.16B
86.33%
1.40B
20.38%
2.33B
66.14%
depreciation and amortization
1.63B
-
1.70B
4.43%
1.68B
1.12%
1.66B
1.43%
1.74B
5.20%
1.80B
3.22%
deferred income tax
stock based compensation
change in working capital
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-1.29B
-
-1.01B
21.79%
-636M
36.84%
-3.17B
398.05%
-477.90M
84.91%
-645.10M
34.99%
-683M
5.88%
-843M
23.43%
-939M
11.39%
-809M
13.84%
-894M
10.51%
-1.07B
19.80%
-1.22B
13.54%
-968M
20.39%
-581M
39.98%
-1.39B
139.41%
-1.15B
17.11%
-1.11B
4.08%
-1.62B
46.29%
-154M
90.48%
-16M
89.61%
-596M
3,625%
-587M
1.51%
-26.62B
4,435.60%
-573M
97.85%
-759M
32.46%
-933M
22.92%
-9.23B
889.82%
-2.05B
77.81%
219M
110.69%
420M
91.78%
-3.00B
815.48%
-1.01B
66.26%
-6.77B
567.46%
634M
109.37%
-1.40B
320.82%
-2.33B
66.14%
net cash provided by operating activities
3.25B
-
3.40B
4.43%
3.36B
1.12%
3.31B
1.43%
3.48B
5.20%
3.59B
3.22%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
net cash used for investing activites
debt repayment
common stock issued
common stock repurchased
dividends paid
other financing activites
net cash used provided by financing activities
effect of forex changes on cash
net change in cash
3.25B
-
3.40B
4.43%
3.36B
1.12%
3.31B
1.43%
3.48B
5.20%
3.59B
3.22%
cash at beginning of period
13.53B
-
16.78B
24.03%
13.18B
21.44%
16.54B
25.47%
15.03B
9.12%
18.52B
23.16%
cash at end of period
16.78B
-
20.18B
20.23%
16.54B
18.02%
19.85B
20.01%
18.52B
6.73%
22.11B
19.41%
operating cash flow
3.25B
-
3.40B
4.43%
3.36B
1.12%
3.31B
1.43%
3.48B
5.20%
3.59B
3.22%
capital expenditure
free cash flow
3.25B
-
3.40B
4.43%
3.36B
1.12%
3.31B
1.43%
3.48B
5.20%
3.59B
3.22%

All numbers in (except ratios and percentages)