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IN:GICRE

General Insurance Corporation of India (GIC Re)

  • Stock

Last Close

366.20

22/11 09:59

Market Cap

723.69B

Beta: -

Volume Today

77.26K

Avg: -

Preview

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Jun '17
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
net income
5.58B
-
13.29B
138.28%
-10.40B
178.24%
13.48B
229.67%
1.42B
89.48%
19.36B
1,265.32%
7.29B
62.33%
22.17B
203.91%
12.32B
44.41%
27.29B
121.48%
9.78B
64.18%
16.89B
72.75%
14.39B
14.81%
depreciation and amortization
21.32M
-
deferred income tax
stock based compensation
change in working capital
26.18B
-
accounts receivables
inventory
accounts payables
other working capital
other non cash items
374.79M
-
-13.29B
3,645.63%
10.40B
178.24%
-13.48B
229.67%
-1.42B
89.48%
-19.36B
1,265.32%
-7.29B
62.33%
-22.17B
203.91%
-12.32B
44.41%
-27.29B
121.48%
-9.78B
64.18%
-16.89B
72.75%
-14.39B
14.81%
net cash provided by operating activities
32.15B
-
13.29B
58.67%
-10.40B
178.24%
13.48B
229.67%
1.42B
89.48%
19.36B
1,265.32%
7.29B
62.33%
22.17B
203.91%
12.32B
44.41%
27.29B
121.48%
9.78B
64.18%
16.89B
72.75%
14.39B
14.81%
investments in property plant and equipment
-8.95M
-
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
-19.52B
-
net cash used for investing activites
-19.53B
-
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
-356.28M
-
net change in cash
12.27B
-
13.29B
8.29%
-10.40B
178.24%
13.48B
229.67%
1.42B
89.48%
19.36B
1,265.32%
7.29B
62.33%
9.66B
32.46%
-216.66B
2,342.62%
27.29B
112.60%
196.68B
620.64%
1.63B
99.17%
-222.53B
13,712.04%
cash at beginning of period
122.31B
-
219.32B
-
228.98B
4.40%
11.32B
95.06%
38.61B
241.17%
235.28B
509.41%
236.92B
0.69%
cash at end of period
134.59B
-
13.29B
90.13%
-10.40B
178.24%
13.48B
229.67%
1.42B
89.48%
19.36B
1,265.32%
7.29B
62.33%
228.98B
3,039.52%
12.32B
94.62%
38.61B
213.31%
235.28B
509.41%
236.92B
0.69%
14.39B
93.93%
operating cash flow
32.15B
-
13.29B
58.67%
-10.40B
178.24%
13.48B
229.67%
1.42B
89.48%
19.36B
1,265.32%
7.29B
62.33%
22.17B
203.91%
12.32B
44.41%
27.29B
121.48%
9.78B
64.18%
16.89B
72.75%
14.39B
14.81%
capital expenditure
-8.95M
-
free cash flow
32.15B
-
13.29B
58.66%
-10.40B
178.24%
13.48B
229.67%
1.42B
89.48%
19.36B
1,265.32%
7.29B
62.33%
22.17B
203.91%
12.32B
44.41%
27.29B
121.48%
9.78B
64.18%
16.89B
72.75%
14.39B
14.81%

All numbers in (except ratios and percentages)