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COM:TARO

Taro Pharmaceutical Industries

  • Stock

Last Close

42.97

21/06 19:59

Market Cap

1.62B

Beta: -

Volume Today

147.06K

Avg: -

Preview

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Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
360.86M
-
484.83M
34.36%
541.27M
11.64%
456.67M
15.63%
210.08M
54.00%
282.12M
34.29%
244.55M
13.32%
-400.74M
263.87%
58.27M
114.54%
25.45M
56.33%
53.87M
111.70%
depreciation and amortization
16.57M
-
15.80M
4.64%
14.85M
6.01%
14.83M
0.13%
16.50M
11.24%
18.60M
12.74%
21.38M
14.98%
23.68M
10.74%
25.91M
9.44%
32.13M
23.97%
31.09M
3.22%
deferred income tax
-23.71M
-
-70.39M
196.89%
-11.98M
82.99%
73.71M
715.45%
56.01M
24.01%
12.26M
78.11%
7.58M
38.15%
-38.41M
606.50%
23.20M
160.40%
16.80M
27.58%
19.15M
13.96%
stock based compensation
16.52M
-
57.53M
248.31%
-11.75M
120.42%
-28.13M
139.45%
33.90M
220.53%
change in working capital
-12.36M
-
-81.04M
555.63%
-137.22M
69.31%
-79.81M
41.83%
7.43M
109.31%
37.18M
400.23%
10.65M
71.36%
460.66M
4,225.84%
-279.04M
160.57%
-37.91M
86.42%
28.10M
174.13%
accounts receivables
-19.75M
-
-85.28M
331.67%
-16.39M
80.78%
34.41M
310.01%
-2.30M
106.67%
-32.09M
1,296.95%
2.72M
108.49%
21.68M
696.00%
-6.23M
128.73%
37.48M
701.73%
40.21M
7.28%
inventory
-10.70M
-
-7.03M
34.31%
-19.01M
170.57%
-3.77M
80.17%
-1.98M
47.53%
-5.51M
178.82%
-4.99M
9.45%
-27.22M
445.03%
-2.08M
92.35%
-16.92M
712.78%
21.73M
228.40%
accounts payables
1.80M
-
-542K
130.04%
-679K
25.28%
-2.29M
237.26%
9.05M
495.15%
9.88M
9.19%
-6.20M
162.77%
32.31M
620.93%
-2.13M
106.59%
1.65M
177.45%
-33.84M
2,152.09%
other working capital
16.29M
-
11.80M
27.53%
-101.14M
956.81%
-108.17M
6.95%
2.66M
102.46%
64.90M
2,340.92%
19.12M
70.54%
433.89M
2,169.16%
-268.60M
161.91%
-60.12M
77.62%
15.73M
126.17%
other non cash items
-230K
-
54K
123.48%
-53K
198.15%
273K
615.09%
-227K
183.15%
-26.45M
11,553.74%
-12.56M
52.52%
584K
104.65%
12.96M
2,119.35%
-4.72M
136.39%
34.27M
826.46%
net cash provided by operating activities
357.64M
-
406.79M
13.74%
395.13M
2.87%
437.54M
10.73%
323.69M
26.02%
323.71M
0.01%
271.61M
16.10%
45.77M
83.15%
-158.70M
446.73%
31.75M
120.01%
132.39M
316.97%
investments in property plant and equipment
-25.80M
-
-19.94M
22.73%
-19.11M
4.17%
-35.76M
87.14%
-29.54M
17.39%
-30.68M
3.89%
-28.39M
7.47%
-17.14M
39.62%
-12.04M
29.78%
-17.85M
48.24%
-54.22M
203.79%
acquisitions net
-4.52M
-
59K
101.30%
-166K
381.36%
8.43M
5,178.31%
2.65M
68.56%
3.67M
38.34%
161K
-
-91.87M
57,163.35%
purchases of investments
-154.70M
-
-43.34M
71.98%
-300.82M
594.04%
-286.63M
4.72%
-770.49M
168.81%
-8.37M
98.91%
-269.77M
3,123.82%
-1.13B
319.80%
-66.67M
94.11%
-107.71M
61.56%
-1.50M
98.61%
sales maturities of investments
-23K
-
2.22M
9,765.22%
32K
98.56%
196.17M
612,931.25%
557.31M
184.10%
296.19M
46.85%
28K
99.99%
1.22B
4,347,707.14%
809.12M
33.54%
866.45M
7.09%
140.06M
83.83%
other investing activites
11.76M
-
-31.08M
364.34%
35.33M
213.68%
10K
99.97%
-1.57M
15,850%
-3.67M
132.76%
-28K
99.24%
-161K
475%
-809.12M
502,458.39%
-866.45M
7.09%
138.31M
115.96%
net cash used for investing activites
-173.30M
-
-92.08M
46.87%
-284.73M
209.22%
-117.78M
58.64%
-241.64M
105.16%
257.14M
206.41%
-298.16M
215.95%
67.74M
122.72%
-170.58M
351.81%
-125.56M
26.40%
84.34M
167.18%
debt repayment
-11.87M
-
-10.94M
7.83%
-5.89M
46.20%
common stock issued
1.26M
-
26K
97.94%
common stock repurchased
-193.00M
-
-9.45M
-
-294.90M
3,020.60%
-106.99M
63.72%
-88.85M
16.95%
-26.98M
69.63%
-24.20M
10.33%
-24.93M
3.05%
dividends paid
-500M
-
other financing activites
149K
-
-26.98M
-
net cash used provided by financing activities
-203.46M
-
-10.92M
94.63%
-15.34M
40.48%
-294.90M
1,822.66%
-106.99M
63.72%
-588.85M
450.40%
-26.98M
95.42%
-24.20M
10.33%
-24.93M
3.05%
effect of forex changes on cash
-8.20M
-
-32.12M
291.55%
57K
100.18%
-1.22M
2,236.84%
1.15M
194.17%
-1.16M
200.78%
-556K
51.90%
2.51M
551.08%
170K
93.22%
-2.83M
1,766.47%
-483K
82.95%
net change in cash
-27.32M
-
271.67M
1,094.52%
95.12M
64.99%
23.64M
75.14%
-23.79M
200.62%
-9.16M
61.49%
-54.10M
490.58%
91.82M
269.74%
-354.04M
485.57%
-96.64M
72.70%
208.41M
315.66%
cash at beginning of period
237.28M
-
209.97M
11.51%
481.64M
129.39%
576.76M
19.75%
600.40M
4.10%
576.61M
3.96%
567.45M
1.59%
513.35M
9.53%
605.18M
17.89%
251.13M
58.50%
154.50M
38.48%
cash at end of period
209.97M
-
481.64M
129.39%
576.76M
19.75%
600.40M
4.10%
576.61M
3.96%
567.45M
1.59%
513.35M
9.53%
605.18M
17.89%
251.13M
58.50%
154.50M
38.48%
362.91M
134.90%
operating cash flow
357.64M
-
406.79M
13.74%
395.13M
2.87%
437.54M
10.73%
323.69M
26.02%
323.71M
0.01%
271.61M
16.10%
45.77M
83.15%
-158.70M
446.73%
31.75M
120.01%
132.39M
316.97%
capital expenditure
-25.80M
-
-19.94M
22.73%
-19.11M
4.17%
-35.76M
87.14%
-29.54M
17.39%
-30.68M
3.89%
-28.39M
7.47%
-17.14M
39.62%
-12.04M
29.78%
-17.85M
48.24%
-54.22M
203.79%
free cash flow
331.84M
-
386.85M
16.58%
376.02M
2.80%
401.78M
6.85%
294.15M
26.79%
293.02M
0.38%
243.21M
17.00%
28.63M
88.23%
-170.74M
696.44%
13.90M
108.14%
78.17M
462.25%

All numbers in (except ratios and percentages)