av/time-technoplast--big.svg

COM:TIMETECHNOPLAST

Time Technoplast

  • Stock

INR

Last Close

391.05

25/11 09:40

Market Cap

74.75B

Beta: -

Volume Today

1.14M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
1.28B
-
1.50B
17.12%
1.82B
20.90%
2.01B
10.47%
2.50B
24.69%
2.82B
12.58%
2.37B
16.03%
1.42B
39.93%
2.59B
82.37%
3.05B
17.51%
3.10B
1.86%
depreciation and amortization
869.27M
-
874.71M
0.63%
988.34M
12.99%
1.15B
16.86%
1.37B
18.83%
1.46B
6.48%
1.56B
6.89%
1.51B
3.34%
1.57B
4.24%
1.71B
8.58%
1.73B
0.98%
deferred income tax
-519.74M
-
-555.13M
6.81%
-361.13M
34.95%
-492.74M
36.45%
-588.30M
19.39%
stock based compensation
35.81M
-
21.76M
39.24%
-6.10M
128.03%
-5.01M
17.90%
-11.70M
133.67%
change in working capital
-973.29M
-
-670.75M
31.08%
-503.35M
24.96%
-1.45B
188.63%
-1.19B
18.12%
-1.97B
65.51%
-1.47B
25.51%
-972.05M
33.71%
-1.68B
73.03%
-1.51B
10.44%
-1.98B
31.69%
accounts receivables
-1.25B
-
-861.42M
30.89%
179.80M
120.87%
-887.65M
593.70%
-868.65M
2.14%
-1.39B
60.11%
inventory
-606.44M
-
-570.06M
6.00%
-41.48M
92.72%
-638.34M
1,438.93%
-935.82M
46.60%
-963.86M
3.00%
-203.88M
78.85%
-21.89M
89.26%
-1.48B
6,654.60%
-874.80M
40.83%
-551.60M
36.95%
accounts payables
241.61M
-
-401.15M
266.04%
-1.13B
181.68%
684.19M
160.55%
237.21M
65.33%
379.20M
59.86%
other working capital
-366.85M
-
-100.69M
72.55%
-461.87M
358.72%
-814.47M
76.34%
-253.68M
68.85%
2K
100.00%
-60K
-
-420.50M
700,733.33%
other non cash items
960.79M
-
994.53M
3.51%
585.22M
41.16%
169.07M
71.11%
345.61M
104.41%
986.48M
185.43%
1.08B
9.68%
977.46M
9.66%
919.96M
5.88%
1.05B
14.33%
5.22B
395.98%
net cash provided by operating activities
2.14B
-
2.70B
26.23%
2.89B
6.89%
1.88B
34.92%
3.03B
61.35%
2.81B
7.20%
3.01B
7.00%
2.57B
14.66%
2.91B
13.13%
3.70B
27.32%
3.05B
17.66%
investments in property plant and equipment
-1.36B
-
-1.05B
22.77%
-1.74B
65.57%
-2.12B
21.95%
-2.47B
16.14%
-2.33B
5.62%
-1.38B
40.88%
-1.02B
25.88%
-1.88B
84.48%
-2.25B
19.36%
-1.81B
19.48%
acquisitions net
22.34M
-
113K
99.49%
1.58M
1,301.77%
13.48M
750.88%
13.30M
1.35%
1.30M
90.22%
purchases of investments
-34.05M
-
-13.48M
60.42%
-64.60M
379.30%
-316.60M
390.09%
sales maturities of investments
32.47M
-
10.68M
67.11%
-13.30M
224.52%
other investing activites
124.49M
-
66.77M
46.37%
539.26M
707.67%
4.56M
99.15%
24.83M
444.06%
1K
-
1.58M
158,300%
78.77M
4,872.85%
155.50M
97.41%
253.30M
62.89%
net cash used for investing activites
-1.24B
-
-984.95M
20.39%
-1.20B
22.04%
-2.12B
76.28%
-2.44B
15.22%
-2.31B
5.57%
-1.38B
40.31%
-1.02B
25.99%
-1.79B
75.99%
-2.16B
20.25%
-1.87B
13.22%
debt repayment
-582.03M
-
-240.31M
58.71%
-629.54M
-
-78.60M
87.51%
-223.07M
183.80%
-156.31M
29.93%
-151.20M
3.27%
-656.30M
334.06%
common stock issued
96.70M
-
common stock repurchased
dividends paid
-115.19M
-
-115.19M
0%
-131.14M
13.85%
-142.00M
8.28%
-180.39M
27.04%
-225.96M
25.26%
-253.60M
12.23%
-221.66M
12.59%
-165.13M
25.51%
-234M
41.71%
-294.40M
25.81%
other financing activites
-628.03M
-
-1.61B
155.88%
-962.27M
40.12%
575.40M
159.80%
-327.12M
156.85%
272.61M
183.34%
-1.15B
520.03%
-1.06B
7.23%
-716.47M
32.55%
-1.15B
61.08%
-100K
99.99%
net cash used provided by financing activities
-743.22M
-
-1.72B
131.72%
-1.68B
2.71%
193.09M
111.52%
-507.50M
362.84%
-582.90M
14.86%
-1.48B
153.43%
-1.51B
2.01%
-1.04B
31.13%
-1.54B
48.31%
-958.70M
37.72%
effect of forex changes on cash
-1
-
2
-
-1K
-
-1K
0%
-1K
0%
-263.18M
26,318,300%
39K
-
net change in cash
160.26M
-
-4.81M
103.00%
10.89M
326.53%
-46.12M
523.58%
83.93M
281.99%
-73.68M
187.79%
158.55M
315.18%
44.97M
71.64%
77.80M
73.01%
8.10M
89.59%
835.85M
10,219.15%
cash at beginning of period
535.94M
-
696.20M
29.90%
691.39M
0.69%
702.28M
1.57%
656.16M
6.57%
740.09M
12.79%
666.41M
9.96%
824.96M
23.79%
606.74M
26.45%
684.50M
12.82%
698.85M
2.10%
cash at end of period
696.20M
-
691.39M
0.69%
702.28M
1.57%
656.16M
6.57%
740.09M
12.79%
666.41M
9.96%
824.96M
23.79%
869.93M
5.45%
684.54M
21.31%
692.60M
1.18%
1.53B
121.59%
operating cash flow
2.14B
-
2.70B
26.23%
2.89B
6.89%
1.88B
34.92%
3.03B
61.35%
2.81B
7.20%
3.01B
7.00%
2.57B
14.66%
2.91B
13.13%
3.70B
27.32%
3.05B
17.66%
capital expenditure
-1.36B
-
-1.05B
22.77%
-1.74B
65.57%
-2.12B
21.95%
-2.47B
16.14%
-2.33B
5.62%
-1.38B
40.88%
-1.02B
25.88%
-1.88B
84.48%
-2.25B
19.36%
-1.81B
19.48%
free cash flow
778.99M
-
1.65B
111.89%
1.15B
30.51%
-243.77M
121.25%
566.61M
332.44%
486.88M
14.07%
1.64B
235.95%
1.55B
5.22%
1.03B
33.81%
1.46B
41.91%
1.24B
14.86%

All numbers in INR (except ratios and percentages)