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NSE:GMRINFRA

GMR Group

  • Stock

INR

Last Close

72.06

13/02 10:28

Market Cap

595.87B

Beta: 0.60

Volume Today

6.71M

Avg: 9.72M

PE Ratio

−59.47

PFCF: -

Preview

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Jan '15
Mar '15
Jun '15
Sep '15
Jan '16
Mar '16
Jun '16
Sep '16
Jan '17
Mar '17
Jun '17
Sep '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
Jun '23
Sep '23
Sep '23
Dec '23
Dec '23
Mar '24
net income
-7.02B
-
-8.92B
27.12%
-4.29B
51.85%
-3.99B
7.17%
-4.44B
11.29%
-9.54B
114.91%
-2.35B
75.35%
-8.93B
280.03%
948.55M
110.62%
1.21B
27.26%
-1.37B
213.16%
-4.04B
196.09%
-2.67B
33.92%
-2.57B
3.89%
-2.35B
8.46%
-2.19B
6.92%
-8.59B
292.49%
-25.66B
198.67%
-3.36B
86.90%
-4.58B
36.41%
-5.72B
24.71%
-13.54B
136.81%
-8.34B
38.42%
-7.50B
10.05%
-11.21B
49.40%
-928.70M
91.71%
-3.18B
242.32%
-1.69B
46.77%
-6.26B
270.13%
-1.41B
77.44%
-1.37B
3.04%
2.08B
251.72%
1.91B
7.92%
-4.41B
330.70%
-311.90M
92.93%
-298M
4.46%
-910.30M
205.47%
-910.30M
0%
-3.17B
248.74%
-3.17B
0%
-1.21B
61.89%
depreciation and amortization
4.95B
-
4.95B
0%
4.95B
0%
4.95B
0%
5.90B
19.11%
5.90B
0%
5.90B
0%
3.86B
-
3.86B
0%
3.86B
0%
2.62B
-
2.62B
0%
2.62B
0%
2.46B
-
2.46B
0%
2.46B
0%
2.66B
-
2.66B
0%
2.66B
0%
2.66B
0%
2.55B
-
2.67B
4.84%
3.02B
12.93%
2.96B
1.99%
2.96B
0%
3.73B
26.18%
3.73B
0%
3.93B
5.23%
3.93B
0%
deferred income tax
stock based compensation
change in working capital
1.34B
-
1.34B
0%
1.34B
0%
1.34B
0%
-1.54B
215.57%
-1.54B
0%
-1.54B
0%
3.26B
-
3.26B
0%
3.26B
0%
1.08B
-
1.08B
0%
1.08B
0%
1.07B
-
1.07B
0%
1.07B
0%
-2.46B
-
-2.46B
0%
-2.46B
0%
-2.46B
0%
accounts receivables
inventory
93.05M
-
93.05M
0%
93.05M
0%
93.05M
0%
-404.15M
534.34%
-404.15M
0%
-404.15M
0%
accounts payables
other working capital
1.24B
-
1.24B
0%
1.24B
0%
1.24B
0%
-1.14B
191.70%
-1.14B
0%
-1.14B
0%
other non cash items
8.01B
-
9.92B
23.75%
5.29B
46.63%
4.98B
5.82%
8.47B
69.86%
13.57B
60.21%
6.38B
52.96%
8.93B
40.00%
3.34B
62.59%
3.08B
7.74%
5.66B
83.45%
4.04B
28.49%
4.84B
19.74%
4.74B
2.15%
4.52B
4.59%
2.19B
51.60%
10.19B
365.54%
27.25B
167.49%
4.96B
81.80%
4.58B
7.56%
8.96B
95.38%
16.78B
87.32%
11.58B
31.00%
10.74B
7.24%
11.21B
4.32%
928.70M
91.71%
3.18B
242.32%
1.69B
46.77%
6.26B
270.13%
1.41B
77.44%
1.37B
3.04%
469.00M
65.76%
757.10M
61.43%
7.43B
881.46%
-2.96B
139.78%
3.25B
210.08%
-3.73B
214.63%
4.64B
224.40%
7.10B
53.00%
-3.93B
155.29%
1.21B
130.82%
net cash provided by operating activities
7.29B
-
7.29B
0%
7.29B
0%
7.29B
0%
8.39B
15.09%
8.39B
0%
8.39B
0%
11.41B
-
11.41B
0%
11.41B
0%
5.87B
-
5.87B
0%
5.87B
0%
5.13B
-
5.13B
0%
5.13B
0%
3.44B
-
3.44B
0%
3.44B
0%
3.44B
0%
5.09B
-
5.34B
4.84%
6.03B
12.93%
-311.90M
105.17%
5.91B
1,995.48%
-910.30M
115.40%
7.46B
919.51%
7.85B
5.23%
-3.17B
140.44%
investments in property plant and equipment
-9.51B
-
-9.51B
0%
-9.51B
0%
-9.51B
0%
-5.61B
41.08%
-5.61B
0%
-5.61B
0%
-1.55B
-
-1.55B
0%
-1.55B
0%
-1.79B
-
-1.79B
0%
-1.79B
0%
-7.12B
-
-7.12B
0%
-7.12B
0%
-7.28B
-
-7.28B
0%
-7.28B
0%
-7.28B
0%
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
9.51B
-
9.51B
0%
9.51B
0%
9.51B
0%
5.61B
41.08%
5.61B
0%
5.61B
0%
1.55B
-
1.55B
0%
1.55B
0%
1.79B
-
1.79B
0%
1.79B
0%
7.12B
-
7.12B
0%
7.12B
0%
7.28B
-
7.28B
0%
7.28B
0%
7.28B
0%
net cash used for investing activites
-11.27B
-
-11.27B
0%
-11.27B
0%
-11.27B
0%
-2.49B
77.88%
-2.49B
0%
-2.49B
0%
6.44B
-
6.44B
0%
6.44B
0%
-1.60B
-
-1.60B
0%
-1.60B
0%
-7.12B
-
-7.12B
0%
-7.12B
0%
-9.69B
-
-9.69B
0%
-9.69B
0%
-9.69B
0%
debt repayment
-23.19B
-
-23.19B
0%
-23.19B
0%
-23.19B
0%
-15.22B
34.39%
-15.22B
0%
-15.22B
0%
-17.55B
-
-17.55B
0%
-17.55B
0%
-11.18B
-
-11.18B
0%
-11.18B
0%
-3.99B
-
-3.99B
0%
-3.99B
0%
-10.36B
-
-10.36B
0%
-10.36B
0%
-10.36B
0%
common stock issued
6.22B
-
6.22B
0%
6.22B
0%
6.22B
0%
1.23B
80.17%
1.23B
0%
1.23B
0%
common stock repurchased
-1.61B
-
-1.61B
0%
-1.61B
0%
-1.61B
0%
dividends paid
-150.38M
-
-150.38M
0%
-150.38M
0%
-150.38M
0%
-46.95M
68.78%
-46.95M
0%
-46.95M
0%
-1.40M
-
-1.40M
0%
-1.40M
0%
-481.32M
-
-481.32M
0%
-481.32M
0%
-242.85M
-
-242.85M
0%
-242.85M
0%
-125.85M
-
-125.85M
0%
-125.85M
0%
-125.85M
0%
other financing activites
18.73B
-
18.73B
0%
18.73B
0%
18.73B
0%
14.03B
25.10%
14.03B
0%
14.03B
0%
17.56B
-
17.56B
0%
17.56B
0%
11.66B
-
11.66B
0%
11.66B
0%
4.23B
-
4.23B
0%
4.23B
0%
10.49B
-
10.49B
0%
10.49B
0%
10.49B
0%
net cash used provided by financing activities
-18.96B
-
-18.96B
0%
-18.96B
0%
-18.96B
0%
-14.03B
26.00%
-14.03B
0%
-14.03B
0%
-17.56B
-
-17.56B
0%
-17.56B
0%
-11.66B
-
-11.66B
0%
-11.66B
0%
-4.23B
-
-4.23B
0%
-4.23B
0%
-10.56B
-
-10.56B
0%
-10.56B
0%
-10.56B
0%
effect of forex changes on cash
27.32M
-
27.32M
0%
27.32M
0%
27.32M
0%
30.88M
12.99%
30.88M
0%
30.88M
0%
120.20M
-
120.20M
0%
120.20M
0%
-179.35M
-
-179.35M
0%
-179.35M
0%
248.85M
-
248.85M
0%
248.85M
0%
-261.45M
-
-261.45M
0%
-261.45M
0%
-261.45M
0%
net change in cash
509.52M
-
509.52M
0%
509.52M
0%
509.52M
0%
-224.70M
144.10%
-224.70M
0%
-224.70M
0%
680.08M
-
680.08M
0%
680.08M
0%
485.02M
-
485.02M
0%
485.02M
0%
-1.84B
-
-1.84B
0%
-1.84B
0%
5.01B
-
5.01B
0%
5.01B
0%
5.01B
0%
5.09B
-
5.34B
4.84%
6.03B
12.93%
-33.35B
652.85%
5.91B
117.73%
-910.30M
115.40%
7.46B
919.51%
7.85B
5.23%
-19.26B
345.38%
cash at beginning of period
3.74B
-
3.74B
0%
3.74B
0%
3.74B
0%
4.25B
13.64%
4.25B
0%
4.25B
0%
2.98B
-
2.98B
0%
2.98B
0%
3.64B
-
3.64B
0%
3.64B
0%
4.12B
-
4.12B
0%
4.12B
0%
2.28B
-
2.28B
0%
2.28B
0%
2.28B
0%
19.41B
-
24.50B
26.25%
27.00B
10.21%
33.03B
22.34%
33.03B
0%
17.00B
48.54%
8.63B
49.24%
16.09B
86.46%
16.09B
0%
cash at end of period
4.25B
-
4.25B
0%
4.25B
0%
4.25B
0%
4.02B
5.29%
4.02B
0%
4.02B
0%
3.66B
-
3.66B
0%
3.66B
0%
4.12B
-
4.12B
0%
4.12B
0%
2.28B
-
2.28B
0%
2.28B
0%
7.30B
-
7.30B
0%
7.30B
0%
7.30B
0%
24.50B
-
29.84B
21.80%
33.03B
10.70%
-311.90M
100.94%
38.95B
12,586.92%
16.09B
58.69%
16.09B
0%
23.94B
48.80%
-3.17B
113.26%
operating cash flow
7.29B
-
7.29B
0%
7.29B
0%
7.29B
0%
8.39B
15.09%
8.39B
0%
8.39B
0%
11.41B
-
11.41B
0%
11.41B
0%
5.87B
-
5.87B
0%
5.87B
0%
5.13B
-
5.13B
0%
5.13B
0%
3.44B
-
3.44B
0%
3.44B
0%
3.44B
0%
5.09B
-
5.34B
4.84%
6.03B
12.93%
-311.90M
105.17%
5.91B
1,995.48%
-910.30M
115.40%
7.46B
919.51%
7.85B
5.23%
-3.17B
140.44%
capital expenditure
-9.51B
-
-9.51B
0%
-9.51B
0%
-9.51B
0%
-5.61B
41.08%
-5.61B
0%
-5.61B
0%
-1.55B
-
-1.55B
0%
-1.55B
0%
-1.79B
-
-1.79B
0%
-1.79B
0%
-7.12B
-
-7.12B
0%
-7.12B
0%
-7.28B
-
-7.28B
0%
-7.28B
0%
-7.28B
0%
free cash flow
-2.23B
-
-2.23B
0%
-2.23B
0%
-2.23B
0%
2.78B
224.98%
2.78B
0%
2.78B
0%
9.86B
-
9.86B
0%
9.86B
0%
4.08B
-
4.08B
0%
4.08B
0%
-1.99B
-
-1.99B
0%
-1.99B
0%
-3.84B
-
-3.84B
0%
-3.84B
0%
-3.84B
0%
5.09B
-
5.34B
4.84%
6.03B
12.93%
-311.90M
105.17%
5.91B
1,995.48%
-910.30M
115.40%
7.46B
919.51%
7.85B
5.23%
-3.17B
140.44%

All numbers in INR (except ratios and percentages)