cache/9401d1cc74d5ee04cdca53698c930fc6d4a19c3ae1aedabe0a54f3fa5a9daccf

JP:CO:JSW

JSW

  • Stock

Last Close

6,508.00

22/11 06:45

Market Cap

326.62B

Beta: -

Volume Today

950.50K

Avg: -

Preview

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Dec '13
Mar '14
Jun '14
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Mar '15
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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
2.71B
-
1.04B
61.70%
491M
52.70%
-7.84B
1,696.74%
1.73B
122.05%
293M
83.05%
334M
13.99%
2.83B
747.60%
2.66B
6.18%
-22.42B
944.16%
2.48B
111.05%
2.63B
6.21%
2.17B
17.48%
-12.25B
664.00%
3.21B
126.24%
4.38B
36.14%
4.95B
13.18%
-1.83B
137.02%
6.87B
474.75%
5.07B
26.23%
4.74B
6.43%
3.28B
30.88%
6.28B
91.64%
-1.08B
117.17%
2.12B
296.57%
1.98B
6.46%
902M
54.54%
2.68B
196.90%
2.39B
10.72%
922M
61.44%
3.04B
229.18%
3.68B
21.19%
2.33B
36.54%
4.90B
109.98%
518M
89.43%
1.24B
139.77%
1.56B
25.52%
8.65B
455.16%
2.45B
71.67%
2.31B
5.75%
4.21B
81.96%
5.31B
26.28%
3.62B
31.77%
depreciation and amortization
1.60B
-
1.69B
5.30%
1.94B
14.92%
1.78B
8.35%
1.87B
5.00%
2.01B
7.49%
deferred income tax
stock based compensation
change in working capital
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-2.71B
-
-1.04B
61.70%
-491M
52.70%
7.84B
1,696.74%
-1.73B
122.05%
-293M
83.05%
-334M
13.99%
-2.83B
747.60%
-2.66B
6.18%
22.42B
944.16%
-2.48B
111.05%
-2.63B
6.21%
-2.17B
17.48%
12.25B
664.00%
-3.21B
126.24%
-4.38B
36.14%
-4.95B
13.18%
1.83B
137.02%
-6.87B
474.75%
-5.07B
26.23%
-4.74B
6.43%
-3.28B
30.88%
-6.28B
91.64%
1.08B
117.17%
-2.12B
296.57%
-1.98B
6.46%
-902M
54.54%
-2.68B
196.90%
-2.39B
10.72%
-922M
61.44%
-3.04B
229.18%
-3.68B
21.19%
-2.33B
36.54%
-4.90B
109.98%
-518M
89.43%
362M
169.88%
130M
64.09%
-6.71B
5,264.62%
-673M
89.98%
-443M
34.18%
-2.20B
395.94%
-5.31B
141.69%
-3.62B
31.77%
net cash provided by operating activities
3.21B
-
3.38B
5.30%
3.88B
14.92%
3.56B
8.35%
3.74B
5.00%
4.02B
7.49%
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
-1.19B
-
-6.06B
410.78%
1.87B
130.89%
-1.38B
173.41%
7.86B
671.78%
-4.22B
153.64%
cash at beginning of period
91.78B
-
90.59B
1.29%
84.53B
6.69%
86.40B
2.22%
85.03B
1.59%
92.89B
9.25%
cash at end of period
90.59B
-
84.53B
6.69%
86.40B
2.22%
85.03B
1.59%
92.89B
9.25%
88.67B
4.54%
operating cash flow
3.21B
-
3.38B
5.30%
3.88B
14.92%
3.56B
8.35%
3.74B
5.00%
4.02B
7.49%
capital expenditure
free cash flow
3.21B
-
3.38B
5.30%
3.88B
14.92%
3.56B
8.35%
3.74B
5.00%
4.02B
7.49%

All numbers in (except ratios and percentages)