av/action-construct--big.svg

NSE:ACE

Action Construction Equipment Limited

  • Stock

INR

Last Close

1,264.80

30/08 09:59

Market Cap

169.56B

Beta: 1.33

Volume Today

166.83K

Avg: 622.28K

PE Ratio

50.07

PFCF: -

Dividend Yield

0.10%

Payout:0%

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
44.72M
-
80.73M
80.52%
149.04M
84.60%
241.38M
61.96%
739.94M
206.54%
842.06M
13.80%
680.29M
19.21%
1.08B
58.92%
1.37B
27.00%
2.34B
70.25%
3.28B
40.39%
depreciation and amortization
152.79M
-
95.84M
37.27%
113.47M
18.40%
125.41M
10.51%
119.35M
4.83%
117.53M
1.53%
130.13M
10.73%
139.45M
7.16%
154.13M
10.53%
180M
16.79%
232.40M
29.11%
deferred income tax
stock based compensation
7.30M
-
change in working capital
118.68M
-
191.25M
61.14%
236.38M
23.60%
285.65M
20.84%
39.57M
86.15%
-109.97M
377.90%
-340.68M
209.78%
-250.67M
26.42%
-268.78M
7.22%
826.90M
407.65%
914.60M
10.61%
accounts receivables
222.96M
-
-61.45M
127.56%
-830.52M
1,251.43%
379.26M
145.67%
-22.21M
105.86%
-102.80M
362.83%
inventory
-174.87M
-
206.84M
218.28%
179.95M
13.00%
102.26M
43.17%
-307.01M
400.23%
-685.90M
123.41%
-577.98M
15.73%
46.38M
108.02%
-673.25M
1,551.60%
-885.30M
31.50%
-1.50B
69.21%
accounts payables
447.48M
-
381.55M
14.73%
99.22M
73.99%
330.52M
233.10%
911.48M
175.77%
1.88B
106.20%
other working capital
293.56M
-
-15.60M
105.31%
56.43M
461.87%
183.39M
224.97%
346.58M
88.99%
-94.52M
127.27%
-82.79M
12.40%
434.25M
624.50%
-305.30M
170.31%
822.93M
369.55%
635.90M
22.73%
other non cash items
65.27M
-
28.17M
56.84%
75.59M
168.36%
65.28M
13.65%
-4.95M
107.58%
-129.20M
2,512.27%
10.01M
107.75%
-108.77M
1,186.32%
-168.71M
55.10%
-601.70M
256.65%
65.20M
110.84%
net cash provided by operating activities
381.46M
-
395.99M
3.81%
574.49M
45.08%
717.72M
24.93%
893.92M
24.55%
720.41M
19.41%
479.76M
33.40%
861.12M
79.49%
1.09B
26.53%
2.74B
151.71%
4.31B
57.06%
investments in property plant and equipment
-281.16M
-
-356.56M
26.82%
-387.62M
8.71%
-234.24M
39.57%
-460.45M
96.57%
-301.86M
34.44%
-872.55M
189.06%
-438.32M
49.77%
-482.54M
10.09%
-738.70M
53.09%
-1.75B
136.97%
acquisitions net
173.32M
-
98.50M
43.17%
489.59M
397.06%
278.08M
43.20%
31.60M
88.64%
475M
1,403.31%
97.70M
79.43%
purchases of investments
-23.20M
-
-27.89M
20.24%
-14.31M
48.69%
-170.69M
1,092.90%
-98.83M
42.10%
-3.54M
96.42%
-58.99M
1,567.68%
-1.63B
2,661.76%
-5.84B
258.31%
-6.01B
2.96%
sales maturities of investments
17.43M
-
91.77M
-
24.69M
73.09%
174.14M
605.23%
46.29M
73.42%
41.74M
9.83%
3.92B
9,287.89%
3.81B
2.69%
other investing activites
50.40M
-
235.15M
366.54%
163.07M
30.65%
137.09M
15.94%
11.33M
91.74%
10.93M
3.57%
16.34M
49.56%
10.68M
34.67%
23.41M
119.25%
7.10M
69.66%
9.70M
36.62%
net cash used for investing activites
-213.32M
-
-144.60M
32.21%
-252.44M
74.57%
-111.46M
55.85%
-354.72M
218.25%
-266.57M
24.85%
-196.02M
26.47%
-162.26M
17.23%
-2.01B
1,141.77%
-2.17B
7.95%
-3.84B
76.54%
debt repayment
-65.99M
-
-118.97M
80.28%
-142.32M
19.64%
-408.40M
186.95%
-373.59M
8.52%
-250.87M
32.85%
-92.85M
62.99%
-277.57M
198.95%
-466.11M
67.92%
-5.31B
1,038.64%
-23.20M
99.56%
common stock issued
110.44M
-
510.22M
362.00%
1.36B
-
common stock repurchased
-110.44M
-
-393.84M
256.61%
-943.53M
-
-54.70M
-
dividends paid
-23.15M
-
-11.57M
50%
-47.56M
310.89%
-1.35M
97.16%
-42.36M
3,033.21%
-70.72M
66.95%
-138.03M
95.18%
-56.74M
-
-71.50M
26.01%
-119.10M
66.57%
other financing activites
-104.15M
-
-130.06M
24.88%
-140.15M
7.75%
-130.53M
6.86%
-115.14M
11.79%
-114.91M
0.20%
-219.83M
91.32%
-126.32M
42.54%
764.78M
705.42%
4.97B
549.69%
net cash used provided by financing activities
-193.29M
-
-260.60M
34.83%
-330.03M
26.64%
-540.28M
63.70%
-531.09M
1.70%
-436.49M
17.81%
-334.33M
23.41%
-403.89M
20.81%
653.60M
261.83%
-410.10M
162.74%
-202.50M
50.62%
effect of forex changes on cash
4.41M
-
-24K
-
1.90M
8,016.67%
net change in cash
-25.14M
-
-9.22M
63.33%
-3.57M
61.29%
65.98M
1,948.70%
8.11M
87.71%
17.34M
113.89%
-50.59M
391.69%
294.97M
683.06%
-271.63M
192.09%
157.60M
158.02%
888.45M
463.74%
cash at beginning of period
173.09M
-
147.95M
14.53%
138.73M
6.23%
135.16M
2.57%
59.04M
56.32%
67.15M
13.74%
84.49M
25.83%
33.90M
59.88%
328.87M
870.12%
57.20M
82.61%
215.65M
277.01%
cash at end of period
147.95M
-
138.73M
6.23%
135.16M
2.57%
201.14M
48.82%
67.15M
66.62%
84.49M
25.83%
33.90M
59.88%
328.87M
870.12%
57.24M
82.60%
214.80M
275.27%
1.10B
414.01%
operating cash flow
381.46M
-
395.99M
3.81%
574.49M
45.08%
717.72M
24.93%
893.92M
24.55%
720.41M
19.41%
479.76M
33.40%
861.12M
79.49%
1.09B
26.53%
2.74B
151.71%
4.31B
57.06%
capital expenditure
-281.16M
-
-356.56M
26.82%
-387.62M
8.71%
-234.24M
39.57%
-460.45M
96.57%
-301.86M
34.44%
-872.55M
189.06%
-438.32M
49.77%
-482.54M
10.09%
-738.70M
53.09%
-1.75B
136.97%
free cash flow
100.31M
-
39.42M
60.70%
186.86M
373.99%
483.48M
158.73%
433.47M
10.34%
418.56M
3.44%
-392.79M
193.84%
422.80M
207.64%
607.07M
43.58%
2.00B
230.11%
2.56B
27.60%

All numbers in INR (except ratios and percentages)