av/kalyani-group--big.svg

NSE:BFUTILITIE

BF Utilities Limited

  • Stock

INR

Last Close

916.60

18/05 07:00

Market Cap

22.14B

Beta: 1.06

Volume Today

76.64K

Avg: 162.43K

PE Ratio

13.20

PFCF: -

Jun '13
Sep '13
Jan '14
Mar '14
Jun '14
Sep '14
Jan '15
Mar '15
Jun '15
Sep '15
Jan '16
Mar '16
Jun '16
Jan '17
Mar '17
Jun '17
Jan '18
Mar '18
Jun '18
Sep '18
Jan '19
Mar '19
Jun '19
Sep '19
Dec '19
Mar '20
Jun '20
Sep '20
Dec '20
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
-262.26M
-
-262.26M
0%
-273.96M
4.46%
-273.96M
0%
-273.96M
0%
-273.96M
0%
301.23M
209.95%
301.23M
0%
301.23M
0%
301.23M
0%
15.42M
94.88%
15.42M
0%
15.42M
0%
3.16M
79.52%
3.16M
0%
3.16M
0%
102.49M
3,145.36%
102.49M
0%
116.28M
13.45%
158.84M
36.60%
198.84M
25.18%
-31.23M
115.71%
139.96M
548.11%
96.09M
31.34%
48.81M
49.21%
-87.62M
279.53%
-142.37M
62.48%
-62.16M
56.34%
87.07M
240.07%
92.78M
6.56%
-24.33M
126.22%
92.82M
481.56%
226.16M
143.65%
213.61M
5.55%
374.63M
75.38%
269.27M
28.12%
320.15M
18.90%
280.08M
12.52%
302.46M
7.99%
424.49M
40.35%
373.39M
12.04%
depreciation and amortization
51.36M
-
51.36M
0%
59.31M
15.49%
59.31M
0%
59.31M
0%
59.31M
0%
69.95M
17.93%
69.95M
0%
69.95M
0%
69.95M
0%
57.54M
17.74%
57.54M
0%
57.54M
0%
68.12M
18.40%
68.12M
0%
68.12M
0%
156.50M
129.72%
156.50M
0%
156.50M
0%
130.04M
-
130.04M
0%
130.04M
0%
144.36M
-
147.47M
2.15%
146.28M
0.81%
146.55M
0.18%
163.89M
11.83%
174.53M
6.50%
deferred income tax
stock based compensation
change in working capital
-441.29M
-
-441.29M
0%
61.49M
113.93%
61.49M
0%
61.49M
0%
61.49M
0%
-98.38M
260.00%
-98.38M
0%
-98.38M
0%
-98.38M
0%
27.00M
127.45%
27.00M
0%
27.00M
0%
102.50M
279.55%
102.50M
0%
102.50M
0%
-15.92M
115.53%
-15.92M
0%
-15.92M
0%
160.13M
-
160.13M
0%
160.13M
0%
accounts receivables
inventory
-99.01M
-
-99.01M
0%
16.24M
116.40%
16.24M
0%
16.24M
0%
16.24M
0%
61.88M
280.97%
61.88M
0%
61.88M
0%
61.88M
0%
-223.64K
100.36%
-223.64K
0%
-223.64K
0%
1.25M
657.73%
1.25M
0%
1.25M
0%
301.34K
75.84%
301.34K
0%
301.34K
0%
175K
-
175K
0%
175K
0%
accounts payables
other working capital
-342.28M
-
-342.28M
0%
45.24M
113.22%
45.24M
0%
45.24M
0%
45.24M
0%
-160.26M
454.21%
-160.26M
0%
-160.26M
0%
-160.26M
0%
27.23M
116.99%
27.23M
0%
27.23M
0%
101.25M
271.85%
101.25M
0%
101.25M
0%
-16.22M
116.02%
-16.22M
0%
-16.22M
0%
159.96M
-
159.96M
0%
159.96M
0%
other non cash items
482.09M
-
482.09M
0%
579.42M
20.19%
579.42M
0%
579.42M
0%
579.42M
0%
555.46M
4.14%
555.46M
0%
555.46M
0%
555.46M
0%
457.90M
17.56%
457.90M
0%
457.90M
0%
469.05M
2.44%
469.05M
0%
469.05M
0%
460.16M
1.90%
460.16M
0%
446.37M
3.00%
-158.84M
135.58%
522.99M
429.26%
753.06M
43.99%
581.86M
22.73%
-96.09M
116.52%
-48.81M
49.21%
87.62M
279.53%
142.37M
62.48%
62.16M
56.34%
-87.07M
240.07%
-92.78M
6.56%
24.33M
126.22%
-92.82M
481.56%
-226.16M
143.65%
-213.61M
5.55%
-374.63M
75.38%
-124.91M
66.66%
-172.69M
38.25%
-133.80M
22.52%
-155.91M
16.53%
-260.60M
67.15%
-198.85M
23.69%
net cash provided by operating activities
-170.10M
-
-170.10M
0%
426.26M
350.59%
426.26M
0%
426.26M
0%
426.26M
0%
828.25M
94.31%
828.25M
0%
828.25M
0%
828.25M
0%
557.86M
32.65%
557.86M
0%
557.86M
0%
642.83M
15.23%
642.83M
0%
642.83M
0%
703.23M
9.40%
703.23M
0%
703.23M
0%
1.01B
-
1.01B
0%
1.01B
0%
288.72M
-
294.93M
2.15%
292.55M
0.81%
293.09M
0.18%
327.77M
11.83%
349.07M
6.50%
investments in property plant and equipment
-230.86M
-
-230.86M
0%
-124.16M
46.22%
-124.16M
0%
-124.16M
0%
-124.16M
0%
-23.49M
81.08%
-23.49M
0%
-23.49M
0%
-23.49M
0%
-22.28M
5.15%
-22.28M
0%
-22.28M
0%
-13.11M
41.17%
-13.11M
0%
-13.11M
0%
-13.43M
2.45%
-13.43M
0%
-13.43M
0%
-12.49M
-
-12.49M
0%
-12.49M
0%
acquisitions net
purchases of investments
-66.99M
-
-66.99M
0%
-66.99M
0%
-352.86M
-
-352.86M
0%
-352.86M
0%
sales maturities of investments
18.23M
-
18.23M
0%
73.75M
304.49%
73.75M
0%
73.75M
0%
73.75M
0%
80.68M
9.39%
80.68M
0%
80.68M
0%
80.68M
0%
3.97M
95.08%
3.97M
0%
3.97M
0%
20.38M
413.16%
20.38M
0%
20.38M
0%
53.49M
162.53%
53.49M
0%
53.49M
0%
6.67M
-
6.67M
0%
6.67M
0%
other investing activites
212.63M
-
212.63M
0%
50.42M
76.29%
50.42M
0%
50.42M
0%
50.42M
0%
-57.18M
213.42%
-57.18M
0%
-57.18M
0%
-57.18M
0%
85.30M
249.18%
85.30M
0%
85.30M
0%
-7.27M
108.52%
-7.27M
0%
-7.27M
0%
-40.06M
451.38%
-40.06M
0%
-40.06M
0%
358.69M
-
358.69M
0%
358.69M
0%
net cash used for investing activites
-212.63M
-
-212.63M
0%
-50.42M
76.29%
-50.42M
0%
-50.42M
0%
-50.42M
0%
57.18M
213.42%
57.18M
0%
57.18M
0%
57.18M
0%
-85.30M
249.18%
-85.30M
0%
-85.30M
0%
7.27M
108.52%
7.27M
0%
7.27M
0%
40.06M
451.38%
40.06M
0%
40.06M
0%
-358.69M
-
-358.69M
0%
-358.69M
0%
debt repayment
-5.19M
-
-5.19M
0%
-5.19M
0%
-5.19M
0%
-880.99M
16,862.62%
-880.99M
0%
-880.99M
0%
-880.99M
0%
-20.31M
97.69%
-20.31M
0%
-20.31M
0%
-168.40M
729.16%
-168.40M
0%
-168.40M
0%
-182.40M
8.31%
-182.40M
0%
-182.40M
0%
common stock issued
common stock repurchased
dividends paid
-25.42M
-
-25.42M
0%
-25.42M
0%
-50.20M
-
-50.20M
0%
-50.20M
0%
other financing activites
5.19M
-
5.19M
0%
5.19M
0%
5.19M
0%
880.99M
16,862.62%
880.99M
0%
880.99M
0%
880.99M
0%
20.31M
97.69%
20.31M
0%
20.31M
0%
168.40M
729.16%
168.40M
0%
168.40M
0%
207.82M
23.41%
207.82M
0%
207.82M
0%
50.20M
-
50.20M
0%
50.20M
0%
net cash used provided by financing activities
-5.19M
-
-5.19M
0%
-5.19M
0%
-5.19M
0%
-880.99M
16,862.62%
-880.99M
0%
-880.99M
0%
-880.99M
0%
-494.68M
43.85%
-494.68M
0%
-494.68M
0%
-645.59M
30.51%
-645.59M
0%
-645.59M
0%
-187.73M
70.92%
-187.73M
0%
-187.73M
0%
-405.52M
-
-405.52M
0%
-405.52M
0%
effect of forex changes on cash
798
-
798
0%
798
0%
798
0%
2.54M
317,736.03%
2.54M
0%
2.54M
0%
2.54M
0%
2.28M
10.18%
2.28M
0%
2.28M
0%
1.44M
36.80%
1.44M
0%
1.44M
0%
-1.15M
179.80%
-1.15M
0%
-1.15M
0%
-253.82M
-
-253.82M
0%
-253.82M
0%
net change in cash
-74.91M
-
-74.91M
0%
-67.72M
9.61%
-67.72M
0%
-67.72M
0%
-67.72M
0%
10.84M
116.01%
10.84M
0%
10.84M
0%
10.84M
0%
4.16M
61.64%
4.16M
0%
4.16M
0%
11.87M
185.46%
11.87M
0%
11.87M
0%
-19.91M
267.79%
-19.91M
0%
-19.91M
0%
-6.04M
-
-6.04M
0%
-6.04M
0%
288.72M
-
294.93M
2.15%
292.55M
0.81%
293.09M
0.18%
327.77M
11.83%
349.07M
6.50%
cash at beginning of period
158.42M
-
158.42M
0%
83.51M
47.29%
83.51M
0%
83.51M
0%
83.51M
0%
13.06M
84.36%
13.06M
0%
13.06M
0%
13.06M
0%
23.90M
82.97%
23.90M
0%
23.90M
0%
28.06M
17.39%
28.06M
0%
28.06M
0%
80.14M
185.59%
80.14M
0%
80.14M
0%
60.23M
-
60.23M
0%
60.23M
0%
-197.94M
-
90.78M
145.86%
203.48M
124.13%
496.03M
143.78%
-245.69M
149.53%
82.08M
133.41%
cash at end of period
83.51M
-
83.51M
0%
15.79M
81.09%
15.79M
0%
15.79M
0%
15.79M
0%
23.90M
51.33%
23.90M
0%
23.90M
0%
23.90M
0%
28.06M
17.39%
28.06M
0%
28.06M
0%
39.93M
42.29%
39.93M
0%
39.93M
0%
60.22M
50.83%
60.22M
0%
60.22M
0%
54.19M
-
54.19M
0%
54.19M
0%
90.78M
-
385.72M
324.88%
496.03M
28.60%
789.12M
59.09%
82.08M
89.60%
431.15M
425.29%
operating cash flow
-170.10M
-
-170.10M
0%
426.26M
350.59%
426.26M
0%
426.26M
0%
426.26M
0%
828.25M
94.31%
828.25M
0%
828.25M
0%
828.25M
0%
557.86M
32.65%
557.86M
0%
557.86M
0%
642.83M
15.23%
642.83M
0%
642.83M
0%
703.23M
9.40%
703.23M
0%
703.23M
0%
1.01B
-
1.01B
0%
1.01B
0%
288.72M
-
294.93M
2.15%
292.55M
0.81%
293.09M
0.18%
327.77M
11.83%
349.07M
6.50%
capital expenditure
-230.86M
-
-230.86M
0%
-124.16M
46.22%
-124.16M
0%
-124.16M
0%
-124.16M
0%
-23.49M
81.08%
-23.49M
0%
-23.49M
0%
-23.49M
0%
-22.28M
5.15%
-22.28M
0%
-22.28M
0%
-13.11M
41.17%
-13.11M
0%
-13.11M
0%
-13.43M
2.45%
-13.43M
0%
-13.43M
0%
-12.49M
-
-12.49M
0%
-12.49M
0%
free cash flow
-400.97M
-
-400.97M
0%
302.10M
175.34%
302.10M
0%
302.10M
0%
302.10M
0%
804.76M
166.39%
804.76M
0%
804.76M
0%
804.76M
0%
535.57M
33.45%
535.57M
0%
535.57M
0%
629.72M
17.58%
629.72M
0%
629.72M
0%
689.80M
9.54%
689.80M
0%
689.80M
0%
999.50M
-
999.50M
0%
999.50M
0%
288.72M
-
294.93M
2.15%
292.55M
0.81%
293.09M
0.18%
327.77M
11.83%
349.07M
6.50%

All numbers in INR (except ratios and percentages)