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COM:SJSINDIA

SJS

  • Stock

Last Close

1,121.10

22/11 10:00

Market Cap

25.04B

Beta: -

Volume Today

55.14K

Avg: -

Preview

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Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
529.60M
-
543.50M
2.62%
641.78M
18.08%
739.39M
15.21%
911.70M
23.30%
848.16M
6.97%
depreciation and amortization
96.96M
-
127.69M
31.69%
147.49M
15.51%
215.74M
46.27%
233.01M
8.01%
387.42M
66.27%
deferred income tax
-213.48M
-
-294.79M
38.09%
stock based compensation
13.95M
-
24.88M
78.35%
47.82M
92.20%
change in working capital
-79.68M
-
32.99M
141.40%
-52.12M
257.99%
-161.76M
210.36%
11.31M
106.99%
-219.66M
2,042.18%
accounts receivables
24.20M
-
6.76M
72.07%
-142.94M
2,214.50%
-34.27M
76.02%
-62.26M
81.67%
-349.58M
461.48%
inventory
-1.98M
-
-30.49M
1,439.90%
-54.72M
79.47%
29.34M
153.62%
-68.63M
333.91%
-73.49M
7.08%
accounts payables
-104.02M
-
111.11M
206.82%
39.77M
64.21%
-92.22M
331.88%
117.36M
227.26%
24.88M
78.80%
other working capital
2.12M
-
-54.39M
2,665.57%
105.77M
294.47%
-64.61M
161.09%
24.84M
138.45%
178.53M
618.72%
other non cash items
-188.61M
-
-121.51M
35.58%
-157.77M
29.84%
12.38M
107.85%
-16.07M
229.81%
1.19B
7,477.29%
net cash provided by operating activities
358.27M
-
582.67M
62.63%
579.38M
0.56%
606.22M
4.63%
870.04M
43.52%
1.03B
18.20%
investments in property plant and equipment
-454.62M
-
-166.90M
63.29%
-102.04M
38.86%
-134.96M
32.26%
-308.16M
128.33%
-301.12M
2.28%
acquisitions net
-25M
-
-50M
100%
-25M
50%
-528.77M
2,015.08%
-6M
98.87%
-2.27B
37,728.33%
purchases of investments
-377.37M
-
-692.79M
83.58%
-1.96B
182.93%
-2.38B
21.61%
-3.09B
29.53%
-1.48B
52.05%
sales maturities of investments
411.02M
-
579.22M
40.92%
1.71B
194.97%
2.53B
48.20%
2.39B
5.59%
2.71B
13.35%
other investing activites
2.10M
-
6.37M
203.33%
4.11M
35.48%
19.86M
383.21%
11.27M
43.25%
-9.10M
180.75%
net cash used for investing activites
-443.87M
-
-324.10M
26.98%
-374.49M
15.55%
-495.58M
32.33%
-1.00B
101.79%
-1.35B
35.09%
debt repayment
-77.19M
-
-171.19M
121.78%
-30.37M
82.26%
-15.60M
48.63%
-77.88M
399.23%
-157.46M
102.18%
common stock issued
21.90M
-
297.92M
-
common stock repurchased
dividends paid
-121.76M
-
-111.10M
8.75%
other financing activites
144.33M
-
-10.27M
107.12%
56.20M
647.22%
-40.95M
172.86%
126.25M
408.30%
net cash used provided by financing activities
89.04M
-
-181.46M
303.80%
-95.93M
47.13%
-167.65M
74.76%
48.37M
128.85%
364.06M
652.66%
effect of forex changes on cash
1.49M
-
-450K
130.20%
430K
195.56%
1.28M
197.67%
500K
60.94%
net change in cash
3.44M
-
78.60M
2,184.88%
108.51M
38.05%
-56.58M
152.14%
-80.36M
42.03%
74.02M
192.11%
cash at beginning of period
25.57M
-
29.01M
13.45%
107.61M
270.94%
216.12M
100.84%
159.54M
26.18%
79.18M
50.37%
cash at end of period
29.01M
-
107.61M
270.94%
216.12M
100.84%
159.54M
26.18%
79.18M
50.37%
153.20M
93.48%
operating cash flow
358.27M
-
582.67M
62.63%
579.38M
0.56%
606.22M
4.63%
870.04M
43.52%
1.03B
18.20%
capital expenditure
-454.62M
-
-166.90M
63.29%
-102.04M
38.86%
-134.96M
32.26%
-308.16M
128.33%
-301.12M
2.28%
free cash flow
-96.35M
-
415.77M
531.52%
477.34M
14.81%
471.26M
1.27%
561.88M
19.23%
727.30M
29.44%

All numbers in (except ratios and percentages)