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NSE:HDFC

Housing Development Finance Corporation Limited

  • Stock

INR

Last Close

2,724.30

12/07 10:00

Market Cap

5.06T

Beta: 0.75

Volume Today

42.37M

Avg: 3.42M

PE Ratio

24.14

PFCF: -

Dividend Yield

1.61%

Payout:0%

Preview

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Jan '14
Mar '14
Jun '14
Sep '14
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
Sep '23
net income
25.77B
-
24.15B
6.28%
18.73B
22.44%
20.64B
10.22%
29.82B
44.46%
26.46B
11.26%
22.04B
16.70%
21.07B
4.44%
34.57B
64.13%
34.60B
0.09%
27.97B
19.17%
24.46B
12.54%
37.68B
54.03%
30.79B
18.28%
27.34B
11.22%
28.69B
4.96%
50.64B
76.48%
39.61B
21.78%
29.42B
25.72%
57.59B
95.74%
55.25B
4.07%
44.92B
18.69%
30.94B
31.11%
103.89B
235.73%
65.48B
36.97%
41.16B
37.14%
36.14B
12.21%
46.00B
27.29%
51.77B
12.55%
53.50B
3.35%
50.41B
5.77%
52.58B
4.30%
58.37B
11.01%
64.59B
10.65%
53.09B
17.80%
65.53B
23.45%
66.75B
1.86%
76.24B
14.21%
depreciation and amortization
272.18M
-
272.18M
0%
272.18M
0%
272.18M
0%
326.82M
20.08%
326.82M
0%
326.82M
0%
326.82M
0%
492.18M
50.59%
492.18M
0%
492.18M
0%
448.63M
-
448.63M
0%
448.63M
0%
373.07M
-
373.07M
0%
373.07M
0%
438M
-
438M
0%
438M
0%
640.27M
-
640.27M
0%
640.27M
0%
640.27M
0%
1.50B
-
1.52B
1.46%
1.46B
3.92%
deferred income tax
stock based compensation
614.95M
-
614.95M
0%
614.95M
0%
39.90M
-
39.90M
0%
39.90M
0%
39.90M
0%
1.47B
3,587.22%
2.13B
45.11%
4.98B
-
change in working capital
1.06B
-
1.06B
0%
1.06B
0%
1.06B
0%
-547.50M
151.79%
-547.50M
0%
-547.50M
0%
-547.50M
0%
-3.53B
545.31%
-3.53B
0%
-3.53B
0%
10.36B
-
10.36B
0%
10.36B
0%
5.10B
-
5.10B
0%
5.10B
0%
-21.35B
-
-21.35B
0%
-21.35B
0%
-2.29B
-
-2.29B
0%
-2.29B
0%
-2.29B
0%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-54.19B
-
-52.57B
2.99%
-47.15B
10.31%
-49.06B
4.06%
-52.40B
6.79%
-49.04B
6.41%
-44.62B
9.01%
-43.64B
2.19%
-80.50B
84.46%
-80.53B
0.04%
-73.89B
8.24%
-24.46B
66.90%
-83.93B
243.09%
-77.04B
8.21%
-73.58B
4.48%
-28.69B
61.01%
-138.27B
381.89%
-127.25B
7.98%
-117.06B
8.01%
-57.59B
50.80%
-145.70B
152.99%
-135.37B
7.09%
-121.40B
10.32%
-103.89B
14.42%
-131.09B
26.19%
-106.77B
18.55%
-101.74B
4.71%
-111.60B
9.69%
-53.24B
52.30%
-55.63B
4.50%
-50.41B
9.39%
-52.58B
4.30%
-58.37B
11.01%
-69.57B
19.18%
-53.09B
23.69%
-64.04B
20.63%
-65.23B
1.87%
-74.78B
14.63%
net cash provided by operating activities
-27.09B
-
-27.09B
0%
-27.09B
0%
-27.09B
0%
-22.80B
15.85%
-22.80B
0%
-22.80B
0%
-22.80B
0%
-48.97B
114.81%
-48.97B
0%
-48.97B
0%
-35.43B
-
-35.43B
0%
-35.43B
0%
-82.16B
-
-82.16B
0%
-82.16B
0%
-110.75B
-
-110.75B
0%
-110.75B
0%
-67.21B
-
-67.21B
0%
-67.21B
0%
-67.21B
0%
1.47B
102.19%
2.13B
45.11%
4.98B
-
2.99B
-
3.04B
1.46%
2.92B
3.92%
investments in property plant and equipment
-639.10M
-
-639.10M
0%
-639.10M
0%
-639.10M
0%
-1.55B
141.96%
-1.55B
0%
-1.55B
0%
-1.55B
0%
-369.70M
76.09%
-369.70M
0%
-369.70M
0%
-1.78B
-
-1.78B
0%
-1.78B
0%
-557.10M
-
-557.10M
0%
-557.10M
0%
275.43M
-
275.43M
0%
275.43M
0%
-577.05M
-
-577.05M
0%
-577.05M
0%
-577.05M
0%
acquisitions net
purchases of investments
-3.89B
-
-3.89B
0%
-3.89B
0%
-23.37B
-
-23.37B
0%
-23.37B
0%
-23.37B
0%
sales maturities of investments
other investing activites
639.10M
-
639.10M
0%
639.10M
0%
639.10M
0%
1.55B
141.96%
1.55B
0%
1.55B
0%
1.55B
0%
369.70M
76.09%
369.70M
0%
369.70M
0%
1.78B
-
1.78B
0%
1.78B
0%
557.10M
-
557.10M
0%
557.10M
0%
3.61B
-
3.61B
0%
3.61B
0%
23.94B
-
23.94B
0%
23.94B
0%
23.94B
0%
net cash used for investing activites
-639.10M
-
-639.10M
0%
-639.10M
0%
-639.10M
0%
-1.55B
141.96%
-1.55B
0%
-1.55B
0%
-1.55B
0%
-369.70M
76.09%
-369.70M
0%
-369.70M
0%
-1.78B
-
-1.78B
0%
-1.78B
0%
-557.10M
-
-557.10M
0%
-557.10M
0%
-3.61B
-
-3.61B
0%
-3.61B
0%
-23.94B
-
-23.94B
0%
-23.94B
0%
-23.94B
0%
debt repayment
-162.75B
-
-162.75B
0%
-162.75B
0%
-162.75B
0%
-115.91B
28.78%
-115.91B
0%
-115.91B
0%
-162.36B
-
-162.36B
0%
-162.36B
0%
-360.62B
-
-360.62B
0%
-360.62B
0%
-432.76B
-
-432.76B
0%
-432.76B
0%
-275.35B
-
-275.35B
0%
-275.35B
0%
-275.35B
0%
common stock issued
1.64B
-
1.64B
0%
1.64B
0%
1.64B
0%
1.82B
11.48%
1.82B
0%
1.82B
0%
1.82B
0%
1.21B
33.44%
1.21B
0%
1.21B
0%
1.83B
-
1.83B
0%
1.83B
0%
36.05B
-
36.05B
0%
36.05B
0%
16.56B
-
16.56B
0%
16.56B
0%
3.98B
-
3.98B
0%
3.98B
0%
3.98B
0%
common stock repurchased
-52.30M
-
-52.30M
0%
-52.30M
0%
-52.30M
0%
-249.75M
-
-249.75M
0%
-249.75M
0%
-103.58M
-
-103.58M
0%
-103.58M
0%
-625K
-
-625K
0%
-625K
0%
-625K
0%
dividends paid
-4.85B
-
-4.85B
0%
-4.85B
0%
-4.85B
0%
-6.26B
29.18%
-6.26B
0%
-6.26B
0%
-6.26B
0%
-6.30B
0.58%
-6.30B
0%
-6.30B
0%
-6.71B
-
-6.71B
0%
-6.71B
0%
-7.39B
-
-7.39B
0%
-7.39B
0%
-8.52B
-
-8.52B
0%
-8.52B
0%
-7.56B
-
-7.56B
0%
-7.56B
0%
-7.56B
0%
other financing activites
3.27B
-
3.27B
0%
3.27B
0%
3.27B
0%
167.19B
5,018.28%
167.19B
0%
167.19B
0%
167.19B
0%
121.25B
27.48%
121.25B
0%
121.25B
0%
167.24B
-
167.24B
0%
167.24B
0%
331.96B
-
331.96B
0%
331.96B
0%
424.83B
-
424.83B
0%
424.83B
0%
278.93B
-
278.93B
0%
278.93B
0%
278.93B
0%
net cash used provided by financing activities
-3.33B
-
-3.33B
0%
-3.33B
0%
-3.33B
0%
-167.42B
4,925.57%
-167.42B
0%
-167.42B
0%
-167.42B
0%
-121.83B
27.23%
-121.83B
0%
-121.83B
0%
-166.18B
-
-166.18B
0%
-166.18B
0%
-330.04B
-
-330.04B
0%
-330.04B
0%
-421.29B
-
-421.29B
0%
-421.29B
0%
-272.96B
-
-272.96B
0%
-272.96B
0%
-272.96B
0%
effect of forex changes on cash
-123.78M
-
-123.78M
0%
-123.78M
0%
-123.78M
0%
-40.70M
67.12%
-40.70M
0%
-40.70M
0%
-40.70M
0%
137.57M
438.02%
137.57M
0%
137.57M
0%
86.88M
-
86.88M
0%
86.88M
0%
774.10M
-
774.10M
0%
774.10M
0%
536.58B
-
536.58B
0%
536.58B
0%
369.15B
-
369.15B
0%
369.15B
0%
369.15B
0%
net change in cash
5.00B
-
5.00B
0%
5.00B
0%
5.00B
0%
-7.12B
242.48%
-7.12B
0%
-7.12B
0%
-7.12B
0%
229M
103.21%
229M
0%
229M
0%
4.30B
-
4.30B
0%
4.30B
0%
-6.36B
-
-6.36B
0%
-6.36B
0%
921.52M
-
921.52M
0%
921.52M
0%
5.04B
-
5.04B
0%
5.04B
0%
5.04B
0%
1.47B
70.80%
2.13B
45.11%
4.98B
-
2.99B
-
3.04B
1.46%
2.92B
3.92%
cash at beginning of period
10.99B
-
10.99B
0%
10.99B
0%
10.99B
0%
15.99B
45.49%
15.99B
0%
15.99B
0%
15.99B
0%
8.87B
44.55%
8.87B
0%
8.87B
0%
9.10B
-
9.10B
0%
9.10B
0%
13.39B
-
13.39B
0%
13.39B
0%
7.04B
-
7.04B
0%
7.04B
0%
7.96B
-
7.96B
0%
7.96B
0%
7.96B
0%
25.40B
-
28.39B
11.78%
24.86B
12.42%
27.78B
11.73%
cash at end of period
15.99B
-
15.99B
0%
15.99B
0%
15.99B
0%
8.87B
44.55%
8.87B
0%
8.87B
0%
8.87B
0%
9.10B
2.58%
9.10B
0%
9.10B
0%
13.39B
-
13.39B
0%
13.39B
0%
7.04B
-
7.04B
0%
7.04B
0%
7.96B
-
7.96B
0%
7.96B
0%
13.00B
-
13.00B
0%
13.00B
0%
13.00B
0%
1.47B
88.68%
2.13B
45.11%
4.98B
-
28.39B
-
31.43B
10.69%
27.78B
11.60%
27.78B
0%
operating cash flow
-27.09B
-
-27.09B
0%
-27.09B
0%
-27.09B
0%
-22.80B
15.85%
-22.80B
0%
-22.80B
0%
-22.80B
0%
-48.97B
114.81%
-48.97B
0%
-48.97B
0%
-35.43B
-
-35.43B
0%
-35.43B
0%
-82.16B
-
-82.16B
0%
-82.16B
0%
-110.75B
-
-110.75B
0%
-110.75B
0%
-67.21B
-
-67.21B
0%
-67.21B
0%
-67.21B
0%
1.47B
102.19%
2.13B
45.11%
4.98B
-
2.99B
-
3.04B
1.46%
2.92B
3.92%
capital expenditure
-639.10M
-
-639.10M
0%
-639.10M
0%
-639.10M
0%
-1.55B
141.96%
-1.55B
0%
-1.55B
0%
-1.55B
0%
-369.70M
76.09%
-369.70M
0%
-369.70M
0%
-1.78B
-
-1.78B
0%
-1.78B
0%
-557.10M
-
-557.10M
0%
-557.10M
0%
275.43M
-
275.43M
0%
275.43M
0%
-577.05M
-
-577.05M
0%
-577.05M
0%
-577.05M
0%
free cash flow
-27.73B
-
-27.73B
0%
-27.73B
0%
-27.73B
0%
-24.34B
12.22%
-24.34B
0%
-24.34B
0%
-24.34B
0%
-49.34B
102.68%
-49.34B
0%
-49.34B
0%
-37.22B
-
-37.22B
0%
-37.22B
0%
-82.72B
-
-82.72B
0%
-82.72B
0%
-110.48B
-
-110.48B
0%
-110.48B
0%
-67.79B
-
-67.79B
0%
-67.79B
0%
-67.79B
0%
1.47B
102.17%
2.13B
45.11%
4.98B
-
2.99B
-
3.04B
1.46%
2.92B
3.92%

All numbers in INR (except ratios and percentages)