av/glaxosmithkline--big.svg

NSE:GLAXO

GlaxoSmithKline Pharmaceuticals Limited

  • Stock

INR

Last Close

2,964.60

02/05 08:51

Market Cap

431.92B

Beta: 0.09

Volume Today

152.98K

Avg: 51.02K

PE Ratio

64.03

PFCF: 16,370.88

Dividend Yield

1.31%

Payout:0%

Preview

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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
Jan '20
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
Mar '24
Jun '24
net income
1.44B
-
1.44B
0%
1.44B
0%
1.16B
19.31%
1.16B
0%
264.20M
77.30%
1.31B
394.10%
1.31B
0%
885.90M
32.14%
1.01B
13.82%
1.63B
62.15%
1.47B
10.20%
1.14B
22.66%
5.03B
342.80%
1.62B
67.81%
1.38B
14.67%
1.11B
19.73%
764.70M
31.00%
1.57B
104.67%
143.27M
90.85%
1.21B
745.10%
2.04B
68.68%
1.50B
26.39%
12.19B
710.81%
1.19B
90.22%
1.93B
62.16%
1.65B
14.92%
1.33B
18.92%
1.32B
0.88%
2.18B
64.47%
457.20M
78.98%
1.94B
325.37%
1.82B
6.25%
depreciation and amortization
61.94M
-
61.94M
0%
61.94M
0%
65.87M
6.34%
65.87M
0%
65.87M
0%
94.96M
44.18%
94.96M
0%
94.96M
0%
121.48M
-
121.48M
0%
121.48M
0%
206.69M
-
206.69M
0%
206.69M
0%
206.69M
0%
163.60M
-
164.10M
0.31%
171.80M
4.69%
163.60M
4.77%
181.10M
10.70%
171.10M
5.52%
deferred income tax
stock based compensation
65.45M
-
25.33M
-
change in working capital
-309.08M
-
-309.08M
0%
-309.08M
0%
-64.47M
79.14%
-64.47M
0%
-64.47M
0%
411.39M
738.09%
411.39M
0%
411.39M
0%
-10.48M
-
-10.48M
0%
-10.48M
0%
110.17M
-
110.17M
0%
110.17M
0%
110.17M
0%
accounts receivables
inventory
-375.71M
-
-375.71M
0%
-375.71M
0%
250.17M
166.59%
250.17M
0%
250.17M
0%
-185.96M
174.33%
-185.96M
0%
-185.96M
0%
34.22M
-
34.22M
0%
34.22M
0%
-169.29M
-
-169.29M
0%
-169.29M
0%
-169.29M
0%
accounts payables
other working capital
66.63M
-
66.63M
0%
66.63M
0%
-314.65M
572.25%
-314.65M
0%
-314.65M
0%
597.36M
289.85%
597.36M
0%
597.36M
0%
-44.71M
-
-44.71M
0%
-44.71M
0%
279.46M
-
279.46M
0%
279.46M
0%
279.46M
0%
other non cash items
-847.02M
-
-847.02M
0%
-847.02M
0%
-575.04M
32.11%
-575.04M
0%
324.40M
156.41%
-629.78M
294.14%
-629.78M
0%
-210.27M
66.61%
-1.01B
379.53%
-747.48M
25.87%
-580.68M
22.31%
-247.95M
57.30%
-5.03B
1,927.63%
-708.73M
85.90%
-471.36M
33.49%
-198.92M
57.80%
144.68M
172.74%
-1.57B
1,181.73%
-143.27M
90.85%
-1.21B
745.10%
-2.04B
68.68%
-1.50B
26.39%
-12.26B
715.16%
-1.19B
90.27%
-1.77B
48.44%
-1.48B
16.33%
-1.51B
1.66%
-1.16B
23.05%
-1.99B
72.06%
-286.10M
85.65%
-1.94B
579.76%
-1.82B
6.25%
net cash provided by operating activities
347.98M
-
347.98M
0%
347.98M
0%
589.99M
69.55%
589.99M
0%
589.99M
0%
1.18B
100.34%
1.18B
0%
1.18B
0%
998.45M
-
998.45M
0%
998.45M
0%
1.23B
-
1.23B
0%
1.23B
0%
1.23B
0%
65.45M
-
327.20M
-
328.20M
0.31%
25.33M
92.28%
327.20M
1,191.54%
362.20M
10.70%
342.20M
5.52%
investments in property plant and equipment
-580.80M
-
-580.80M
0%
-580.80M
0%
-761.07M
31.04%
-761.07M
0%
-761.07M
0%
-1.01B
32.51%
-1.01B
0%
-1.01B
0%
-728.20M
-
-728.20M
0%
-728.20M
0%
-389.75M
-
-389.75M
0%
-389.75M
0%
-389.75M
0%
acquisitions net
purchases of investments
-4.98B
-
-4.98B
0%
-4.98B
0%
-1.97B
60.54%
-1.97B
0%
-1.97B
0%
-2.67B
35.92%
-2.67B
0%
-2.67B
0%
-3.10B
-
-3.10B
0%
-3.10B
0%
-2.85B
-
-2.85B
0%
-2.85B
0%
-2.85B
0%
sales maturities of investments
6.40B
-
6.40B
0%
6.40B
0%
3.15B
50.85%
3.15B
0%
3.15B
0%
1.84B
41.45%
1.84B
0%
1.84B
0%
3.15B
-
3.15B
0%
3.15B
0%
3.08B
-
3.08B
0%
3.08B
0%
3.08B
0%
other investing activites
-836.07M
-
-836.07M
0%
-836.07M
0%
-417.68M
50.04%
-417.68M
0%
-417.68M
0%
1.84B
540.46%
1.84B
0%
1.84B
0%
678.20M
-
678.20M
0%
678.20M
0%
159.75M
-
159.75M
0%
159.75M
0%
159.75M
0%
net cash used for investing activites
836.07M
-
836.07M
0%
836.07M
0%
422.37M
49.48%
422.37M
0%
422.37M
0%
-1.84B
536.52%
-1.84B
0%
-1.84B
0%
-670.15M
-
-670.15M
0%
-670.15M
0%
-307.83M
-
-307.83M
0%
-307.83M
0%
-307.83M
0%
debt repayment
-1.86M
-
-1.86M
0%
-1.86M
0%
-1.95M
4.78%
-1.95M
0%
-1.95M
0%
-1.51M
22.11%
-1.51M
0%
-1.51M
0%
-1.01M
-
-1.01M
0%
-1.01M
0%
-1.01M
-
-1.01M
0%
-1.01M
0%
-1.01M
0%
common stock issued
common stock repurchased
dividends paid
-1.32B
-
-1.32B
0%
-1.32B
0%
-1.06B
20.00%
-1.06B
0%
-1.06B
0%
-635.27M
40.00%
-635.27M
0%
-635.27M
0%
-741.15M
-
-741.15M
0%
-741.15M
0%
-847.03M
-
-847.03M
0%
-847.03M
0%
-847.03M
0%
other financing activites
1.33B
-
1.33B
0%
1.33B
0%
1.06B
19.97%
1.06B
0%
1.06B
0%
636.79M
39.97%
636.79M
0%
636.79M
0%
742.17M
-
742.17M
0%
742.17M
0%
848.05M
-
848.05M
0%
848.05M
0%
848.05M
0%
net cash used provided by financing activities
-1.59B
-
-1.59B
0%
-1.59B
0%
-1.28B
19.97%
-1.28B
0%
-1.28B
0%
-766.11M
39.97%
-766.11M
0%
-766.11M
0%
-894.51M
-
-894.51M
0%
-894.51M
0%
-1.02B
-
-1.02B
0%
-1.02B
0%
-1.02B
0%
effect of forex changes on cash
415.12M
-
415.12M
0%
415.12M
0%
329.01M
20.74%
329.01M
0%
329.01M
0%
1.58B
381.08%
1.58B
0%
1.58B
0%
310.41M
-
310.41M
0%
310.41M
0%
118.82M
-
118.82M
0%
118.82M
0%
118.82M
0%
net change in cash
4.40M
-
4.40M
0%
4.40M
0%
65.09M
1,380.54%
65.09M
0%
65.09M
0%
154.93M
138.01%
154.93M
0%
154.93M
0%
-255.81M
-
-255.81M
0%
-255.81M
0%
15.09M
-
15.09M
0%
15.09M
0%
15.09M
0%
65.45M
-
327.20M
-
328.20M
0.31%
25.33M
92.28%
327.20M
1,191.54%
362.20M
10.70%
342.20M
5.52%
cash at beginning of period
288.99M
-
288.99M
0%
288.99M
0%
287.22M
0.61%
287.22M
0%
287.22M
0%
347.83M
21.10%
347.83M
0%
347.83M
0%
502.75M
-
502.75M
0%
502.75M
0%
246.94M
-
246.94M
0%
246.94M
0%
246.94M
0%
7.24B
-
7.57B
4.52%
525.05M
93.06%
550.38M
4.83%
10.55B
1,817.01%
10.91B
3.43%
cash at end of period
293.38M
-
293.38M
0%
293.38M
0%
352.31M
20.08%
352.31M
0%
352.31M
0%
502.75M
42.70%
502.75M
0%
502.75M
0%
246.94M
-
246.94M
0%
246.94M
0%
262.03M
-
262.03M
0%
262.03M
0%
262.03M
0%
65.45M
-
7.57B
-
7.89B
4.34%
550.38M
93.03%
877.58M
59.45%
10.91B
1,143.54%
11.26B
3.14%
operating cash flow
347.98M
-
347.98M
0%
347.98M
0%
589.99M
69.55%
589.99M
0%
589.99M
0%
1.18B
100.34%
1.18B
0%
1.18B
0%
998.45M
-
998.45M
0%
998.45M
0%
1.23B
-
1.23B
0%
1.23B
0%
1.23B
0%
65.45M
-
327.20M
-
328.20M
0.31%
25.33M
92.28%
327.20M
1,191.54%
362.20M
10.70%
342.20M
5.52%
capital expenditure
-580.80M
-
-580.80M
0%
-580.80M
0%
-761.07M
31.04%
-761.07M
0%
-761.07M
0%
-1.01B
32.51%
-1.01B
0%
-1.01B
0%
-728.20M
-
-728.20M
0%
-728.20M
0%
-389.75M
-
-389.75M
0%
-389.75M
0%
-389.75M
0%
free cash flow
-232.82M
-
-232.82M
0%
-232.82M
0%
-171.08M
26.52%
-171.08M
0%
-171.08M
0%
173.53M
201.43%
173.53M
0%
173.53M
0%
270.24M
-
270.24M
0%
270.24M
0%
836.50M
-
836.50M
0%
836.50M
0%
836.50M
0%
65.45M
-
327.20M
-
328.20M
0.31%
25.33M
92.28%
327.20M
1,191.54%
362.20M
10.70%
342.20M
5.52%

All numbers in INR (except ratios and percentages)