av/ceat--big.svg

NSE:CEATLTD

CEAT Limited

  • Stock

INR

Last Close

2,598.50

26/07 10:00

Market Cap

106.80B

Beta: 0.44

Volume Today

189.81K

Avg: 82.27K

PE Ratio

15.75

PFCF: -

Dividend Yield

0.46%

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
4.03B
-
4.72B
16.95%
6.43B
36.25%
4.37B
31.94%
3.44B
21.26%
3.56B
3.40%
2.87B
19.36%
4.48B
55.91%
661.30M
85.22%
2.46B
271.87%
6.43B
161.32%
depreciation and amortization
865.43M
-
934.25M
7.95%
1.08B
15.07%
1.43B
33.09%
1.69B
17.84%
1.93B
14.29%
2.77B
43.49%
3.40B
22.83%
4.35B
28.14%
4.69B
7.84%
5.09B
8.42%
deferred income tax
stock based compensation
change in working capital
-3.80B
-
1.71B
145.11%
332.23M
80.62%
-2.17B
754.23%
1.67B
176.71%
234.70M
85.92%
2.58B
1,000.26%
4.52B
74.87%
-736.10M
116.30%
2.21B
400.31%
2.67B
20.98%
accounts receivables
381.10M
-
347.60M
8.79%
-2.51B
821.98%
-2.30B
8.39%
-1.55B
32.55%
236.60M
115.26%
inventory
-1.95B
-
714.70M
136.70%
166.30M
76.73%
-3.04B
1,926.67%
1.58B
151.91%
-2.22B
240.81%
656.40M
129.56%
-2.08B
416.24%
-1.79B
13.86%
1.72B
196.11%
-127M
107.39%
accounts payables
1.89B
-
1.43B
24.26%
7.60B
431.52%
3.19B
57.96%
973.70M
69.52%
679.60M
30.20%
other working capital
-1.85B
-
999.48M
153.96%
165.93M
83.40%
864.15M
420.78%
90.40M
89.54%
186.80M
106.64%
148.80M
20.34%
1.50B
910.08%
156.70M
89.57%
1.07B
582.39%
1.89B
76.30%
other non cash items
867.94M
-
122.73M
85.86%
-970.30M
890.60%
-283.38M
70.79%
-39.40M
86.10%
-195.10M
395.18%
1.35B
789.49%
1.19B
11.63%
1.91B
60.81%
2.69B
40.82%
5.60B
107.94%
net cash provided by operating activities
1.97B
-
7.49B
280.85%
6.86B
8.34%
3.35B
51.23%
6.76B
101.91%
5.53B
18.21%
9.56B
73.04%
13.58B
41.97%
6.19B
54.41%
12.05B
94.78%
14.70B
21.93%
investments in property plant and equipment
-1.48B
-
-3.03B
104.81%
-7.06B
133.03%
-5.88B
16.71%
-4.87B
17.10%
-11.07B
127.29%
-11.18B
1.00%
-6.39B
42.82%
-9.59B
49.91%
-8.79B
8.30%
-8.67B
1.34%
acquisitions net
96.24M
-
189.71M
97.12%
208.88M
10.10%
283.68M
35.81%
230.10M
18.89%
202M
12.21%
-29.90M
114.80%
-72.80M
143.48%
-38M
47.80%
12.40M
132.63%
5M
59.68%
purchases of investments
-508.47M
-
-195.47M
61.56%
-352.62M
80.40%
-332.79M
5.62%
-61.30M
81.58%
-71.70M
16.97%
-51.60M
28.03%
-2.20M
95.74%
-39.80M
1,709.09%
-33.20M
16.58%
-4.70B
14,068.67%
sales maturities of investments
454.71M
-
478.52M
5.24%
120.80M
74.76%
440.80M
264.90%
428.40M
2.81%
410.90M
4.08%
1.60M
99.61%
288.50M
17,931.25%
271.60M
5.86%
22.30M
91.79%
4.71B
21,007.17%
other investing activites
18.79M
-
22.31M
18.76%
-1.21M
105.41%
51.08M
4,335.57%
123.80M
142.36%
14.60M
88.21%
508.30M
3,381.51%
700K
99.86%
-50.80M
7,357.14%
298.70M
687.99%
73.40M
75.43%
net cash used for investing activites
-1.42B
-
-2.53B
78.73%
-7.08B
179.53%
-5.43B
23.25%
-4.15B
23.62%
-10.52B
153.38%
-10.76B
2.26%
-6.18B
42.53%
-9.44B
52.80%
-8.49B
10.09%
-8.71B
2.60%
debt repayment
-10.89B
-
-12.16B
11.66%
-7.35B
39.60%
-1.14B
84.53%
-6.56B
477.33%
-5.61B
14.48%
-500.50M
91.08%
-5.58B
1,014.21%
-555.10M
90.05%
-1.66B
199.77%
-4.64B
178.73%
common stock issued
109.19M
-
4B
3,563.31%
common stock repurchased
-812K
-
6.69B
824,314.90%
dividends paid
-143.82M
-
-357.31M
148.44%
-859.11M
140.44%
-6.58M
99.23%
-472.70M
7,083.89%
-443.40M
6.20%
-960.30M
116.58%
-3.80M
99.60%
-746M
19,531.58%
-126.30M
83.07%
-485.40M
284.32%
other financing activites
10.54B
-
-112.47M
101.07%
5.31B
4,817.79%
3.33B
37.16%
5.01B
50.27%
10.90B
117.54%
2.25B
79.35%
-1.73B
176.80%
4.43B
356.42%
-1.41B
131.70%
-1.75B
24.87%
net cash used provided by financing activities
-392.70M
-
-1.94B
394.07%
-2.90B
49.43%
2.19B
175.58%
-2.02B
192.40%
4.84B
339.27%
790.20M
83.69%
-7.31B
1,024.97%
3.13B
142.85%
-3.20B
202.03%
-6.04B
89.08%
effect of forex changes on cash
net change in cash
155.96M
-
3.01B
1,832.41%
-3.12B
203.44%
103.52M
103.32%
581.70M
461.90%
-146.30M
125.15%
-401.50M
174.44%
86.90M
121.64%
-123.20M
241.77%
368.50M
399.11%
-44.30M
112.02%
cash at beginning of period
980.54M
-
1.14B
15.91%
4.15B
265.18%
136.59M
96.71%
240.10M
75.79%
821.80M
242.27%
675.50M
17.80%
274M
59.44%
360.90M
31.72%
237.70M
34.14%
635.10M
167.19%
cash at end of period
1.14B
-
4.15B
265.18%
1.03B
75.11%
240.11M
76.75%
821.80M
242.26%
675.50M
17.80%
274M
59.44%
360.90M
31.72%
237.70M
34.14%
606.20M
155.03%
590.80M
2.54%
operating cash flow
1.97B
-
7.49B
280.85%
6.86B
8.34%
3.35B
51.23%
6.76B
101.91%
5.53B
18.21%
9.56B
73.04%
13.58B
41.97%
6.19B
54.41%
12.05B
94.78%
14.70B
21.93%
capital expenditure
-1.48B
-
-3.03B
104.81%
-7.06B
133.03%
-5.88B
16.71%
-4.87B
17.10%
-11.07B
127.29%
-11.18B
1.00%
-6.39B
42.82%
-9.59B
49.91%
-8.79B
8.30%
-8.67B
1.34%
free cash flow
487.39M
-
4.46B
814.85%
-193.89M
104.35%
-2.53B
1,205.07%
1.89B
174.51%
-5.55B
394.18%
-1.62B
70.79%
7.18B
543.29%
-3.40B
147.31%
3.26B
196.05%
6.03B
84.63%

All numbers in INR (except ratios and percentages)