av/kalyani-group--big.svg

NSE:BFUTILITIE

BF Utilities Limited

  • Stock

INR

Last Close

806.60

26/07 09:59

Market Cap

31.34B

Beta: 1.06

Volume Today

97.37K

Avg: 162.43K

PE Ratio

13.20

PFCF: -

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
Sep '13
Sep '14
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
net income
-1.05B
-
-1.10B
4.46%
61.67M
105.63%
12.63M
79.52%
409.97M
3,145.36%
795.35M
94.00%
338.46M
57.45%
-200.54M
159.25%
1.03B
614.04%
2.74B
165.70%
depreciation and amortization
205.44M
-
237.25M
15.49%
230.14M
3.00%
272.49M
18.40%
625.99M
129.72%
520.17M
16.90%
531.40M
2.16%
566.71M
6.64%
551.46M
2.69%
580.04M
5.18%
deferred income tax
stock based compensation
change in working capital
-1.77B
-
245.95M
113.93%
108.02M
56.08%
409.98M
279.55%
-63.68M
115.53%
640.53M
1,105.87%
429.27M
32.98%
-304.09M
170.84%
135.45M
144.54%
-461.74M
440.89%
accounts receivables
37.57M
-
1.02M
-
13.10M
1,184.31%
-390K
102.98%
-9M
2,207.69%
-4.48M
50.22%
inventory
-396.05M
-
64.97M
116.40%
-894.55K
101.38%
4.99M
657.73%
1.21M
75.84%
700K
41.93%
-518.22M
74,131.43%
310K
100.06%
-16.20M
5,325.81%
7.30M
145.05%
accounts payables
282.83M
-
-59.63M
121.08%
-26.66M
55.29%
49.05M
283.98%
-73.21M
249.26%
other working capital
-1.37B
-
180.98M
113.22%
71.34M
60.58%
404.99M
467.68%
-64.88M
116.02%
355.98M
648.64%
994.02M
179.23%
-277.35M
127.90%
111.60M
140.24%
-391.35M
450.67%
other non cash items
1.93B
-
2.32B
20.19%
1.83B
20.97%
1.88B
2.44%
1.84B
1.90%
2.09B
13.65%
1.81B
13.61%
1.84B
2.05%
1.54B
16.51%
1.50B
2.31%
net cash provided by operating activities
-680.41M
-
1.71B
350.59%
2.23B
30.87%
2.57B
15.23%
2.81B
9.40%
4.05B
43.91%
3.11B
23.26%
1.91B
38.63%
3.26B
70.87%
4.36B
33.89%
investments in property plant and equipment
-923.46M
-
-496.65M
46.22%
-89.13M
82.05%
-52.44M
41.17%
-53.73M
2.45%
-49.97M
6.99%
-1.06B
2,030.18%
-33.36M
96.87%
-794.24M
2,280.82%
-1.13B
42.04%
acquisitions net
527.52M
-
-146.54M
-
-1.02B
599.37%
5.41M
100.53%
-169.56M
3,234.20%
770K
100.45%
purchases of investments
-267.94M
-
-1.41B
-
-552.13M
60.88%
-279.62M
49.36%
-593.15M
112.13%
-432.33M
27.11%
sales maturities of investments
72.93M
-
294.99M
304.49%
15.88M
94.62%
81.50M
413.16%
213.97M
162.53%
26.66M
87.54%
745.60M
2,696.70%
199.59M
73.23%
762.71M
282.14%
1.10B
44.66%
other investing activites
28.30M
-
42.39M
49.78%
-23.39M
155.18%
29.46M
225.96%
-403.23M
1,468.57%
90K
100.02%
1.06B
1,183,200%
33.52M
96.85%
199.28M
494.51%
53.82M
72.99%
net cash used for investing activites
-822.23M
-
-159.28M
80.63%
-301.08M
89.03%
58.53M
119.44%
-242.99M
515.18%
-1.58B
550.74%
-830.86M
47.45%
-74.46M
91.04%
-594.96M
699.03%
-402.56M
32.34%
debt repayment
-20.77M
-
-81.24M
291.05%
-673.61M
729.16%
-729.62M
8.31%
-1.13B
54.68%
-418.02M
62.96%
-147.88M
64.62%
-1.13B
661.00%
-339.56M
69.83%
common stock issued
common stock repurchased
dividends paid
-101.67M
-
-200.79M
97.50%
other financing activites
1.20B
-
-1.80B
249.28%
-1.83B
2.04%
-1.91B
4.16%
-1.82B
4.74%
-1.16B
36.12%
-1.80B
55.25%
-1.71B
5.30%
-1.70B
0.28%
-3.21B
88.21%
net cash used provided by financing activities
1.20B
-
-1.82B
251.01%
-1.91B
5.34%
-2.58B
34.94%
-2.65B
2.60%
-2.49B
5.99%
-2.22B
10.82%
-1.86B
16.46%
-2.83B
52.42%
-3.54B
25.33%
effect of forex changes on cash
-112.24M
-
-10K
-
net change in cash
-299.65M
-
-270.86M
9.61%
16.63M
106.14%
47.47M
185.46%
-79.65M
267.79%
-24.15M
69.68%
54.25M
324.64%
-23.57M
143.45%
-165.63M
602.72%
414.25M
350.10%
cash at beginning of period
633.70M
-
334.04M
47.29%
95.61M
71.38%
112.24M
17.39%
320.55M
185.59%
240.90M
24.85%
216.75M
10.02%
271M
25.03%
247.43M
8.70%
81.79M
66.95%
cash at end of period
334.04M
-
63.18M
81.09%
112.24M
77.65%
159.71M
42.29%
240.90M
50.83%
216.75M
10.02%
271M
25.03%
247.43M
8.70%
81.80M
66.94%
496.03M
506.40%
operating cash flow
-680.41M
-
1.71B
350.59%
2.23B
30.87%
2.57B
15.23%
2.81B
9.40%
4.05B
43.91%
3.11B
23.26%
1.91B
38.63%
3.26B
70.87%
4.36B
33.89%
capital expenditure
-923.46M
-
-496.65M
46.22%
-89.13M
82.05%
-52.44M
41.17%
-53.73M
2.45%
-49.97M
6.99%
-1.06B
2,030.18%
-33.36M
96.87%
-794.24M
2,280.82%
-1.13B
42.04%
free cash flow
-1.60B
-
1.21B
175.34%
2.14B
77.28%
2.52B
17.58%
2.76B
9.54%
4.00B
44.90%
2.04B
48.92%
1.87B
8.27%
2.46B
31.51%
3.23B
31.26%

All numbers in INR (except ratios and percentages)