av/hikal--big.svg

NSE:HIKAL

Hikal Limited

  • Stock

INR

Last Close

303.20

03/05 09:59

Market Cap

34.75B

Beta: 1.18

Volume Today

243.10K

Avg: 381.49K

PE Ratio

43.70

PFCF: -

Dividend Yield

0.41%

Payout:0%

Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
net income
981.26M
-
597.52M
39.11%
531.90M
10.98%
800.24M
50.45%
1.11B
39.33%
1.49B
33.71%
1.42B
4.76%
2.06B
45.39%
2.19B
5.88%
1.05B
51.79%
depreciation and amortization
550.36M
-
641.90M
16.63%
672.76M
4.81%
691.41M
2.77%
855.93M
23.79%
928.79M
8.51%
824.62M
11.22%
852.45M
3.37%
956.69M
12.23%
1.09B
13.94%
deferred income tax
stock based compensation
change in working capital
-348.45M
-
-713.25M
104.69%
113.45M
115.91%
-232.93M
305.32%
-871.59M
274.19%
-896.56M
2.86%
464.88M
151.85%
-578.93M
224.53%
187.04M
132.31%
756.10M
304.25%
accounts receivables
-690.76M
-
139.87M
120.25%
-1.47B
1,153.29%
469.10M
131.84%
-66.85M
114.25%
inventory
-542.60M
-
-26.61M
95.10%
228.41M
958.36%
275.32M
20.54%
-394.72M
243.37%
-611.78M
54.99%
505.91M
182.69%
397.65M
21.40%
-634.20M
259.49%
82.30M
112.98%
accounts payables
-30.05M
-
372.59M
1,339.90%
292.58M
21.47%
193.62M
33.82%
649.49M
235.45%
other working capital
194.15M
-
-686.64M
453.66%
-114.96M
83.26%
-508.25M
342.11%
-476.87M
6.17%
436.03M
191.44%
-553.49M
226.94%
204.07M
136.87%
158.52M
22.32%
91.16M
42.49%
other non cash items
204.20M
-
495.62M
142.71%
537.96M
8.54%
376.27M
30.06%
288.86M
23.23%
332.83M
15.22%
140M
57.94%
-47.59M
133.99%
-391.99M
723.68%
253.20M
164.59%
net cash provided by operating activities
1.39B
-
1.02B
26.35%
1.86B
81.65%
1.63B
11.91%
1.39B
15.10%
1.86B
33.70%
2.85B
53.53%
2.29B
19.62%
2.94B
28.26%
3.15B
7.35%
investments in property plant and equipment
-514.19M
-
-485.46M
5.59%
-588.36M
21.20%
-1.22B
107.53%
-1.06B
13.21%
-1.28B
21.18%
-1.58B
23.05%
-1.58B
0.27%
-2.73B
73.42%
-3.03B
10.72%
acquisitions net
3.06M
-
360K
88.24%
14.04M
3,800%
50.83M
262.04%
24.70M
51.41%
purchases of investments
-13.79M
-
-83.19M
503.26%
-14.04M
83.12%
-211.59M
1,407.05%
-46.20M
78.17%
sales maturities of investments
10.73M
-
82.83M
671.95%
730K
99.12%
81.40M
11,050.68%
115.90M
42.38%
other investing activites
281.18M
-
56.58M
79.88%
-50.77M
189.73%
195.18M
484.44%
-41.42M
121.22%
38.35M
192.59%
-57.65M
250.33%
13.30M
123.07%
-31.21M
334.66%
8.50M
127.23%
net cash used for investing activites
-233.01M
-
-428.88M
84.06%
-639.13M
49.02%
-1.03B
60.51%
-1.10B
7.35%
-1.25B
13.14%
-1.64B
31.47%
-1.56B
4.64%
-2.84B
82.06%
-2.92B
2.80%
debt repayment
-1.80B
-
-766.55M
57.30%
-2.41B
214.30%
-405.69M
83.16%
-475.04M
17.09%
-591.05M
24.42%
-600.80M
1.65%
-872.60M
45.24%
-887.13M
1.67%
-1.21B
36.65%
common stock issued
common stock repurchased
dividends paid
-86.57M
-
-48.09M
44.45%
-98.93M
105.72%
-158.30M
60.01%
-128.61M
18.76%
-163.51M
27.14%
-237.83M
45.45%
-148.19M
37.69%
-271.26M
83.05%
-123.40M
54.51%
other financing activites
798.73M
-
126.47M
84.17%
1.27B
905.72%
-68.81M
105.41%
355.71M
616.95%
200.51M
43.63%
-170.01M
184.79%
52.11M
130.65%
1.10B
2,016.31%
1.26B
14.14%
net cash used provided by financing activities
-1.08B
-
-688.17M
36.47%
-1.24B
79.65%
-632.80M
48.81%
-247.94M
60.82%
-554.05M
123.46%
-1.01B
82.05%
-968.68M
3.96%
-55.58M
94.26%
-76.90M
38.36%
effect of forex changes on cash
10K
-
-10K
-
10K
200%
-10K
200%
net change in cash
71.18M
-
-95.26M
233.83%
-19.33M
79.71%
-23.68M
22.50%
38.97M
264.57%
55.91M
43.47%
202.69M
262.53%
-240.46M
218.63%
38.04M
115.82%
152.90M
301.95%
cash at beginning of period
86.34M
-
157.52M
82.44%
62.26M
60.47%
42.93M
31.05%
19.25M
55.16%
58.22M
202.44%
114.14M
96.05%
316.83M
177.58%
76.37M
75.90%
114.40M
49.80%
cash at end of period
157.52M
-
62.26M
60.47%
42.93M
31.05%
19.25M
55.16%
58.22M
202.44%
114.13M
96.03%
316.83M
177.60%
76.37M
75.90%
114.41M
49.81%
267.30M
133.63%
operating cash flow
1.39B
-
1.02B
26.35%
1.86B
81.65%
1.63B
11.91%
1.39B
15.10%
1.86B
33.70%
2.85B
53.53%
2.29B
19.62%
2.94B
28.26%
3.15B
7.35%
capital expenditure
-514.19M
-
-485.46M
5.59%
-588.36M
21.20%
-1.22B
107.53%
-1.06B
13.21%
-1.28B
21.18%
-1.58B
23.05%
-1.58B
0.27%
-2.73B
73.42%
-3.03B
10.72%
free cash flow
873.18M
-
536.33M
38.58%
1.27B
136.37%
413.94M
67.35%
328.33M
20.68%
571.61M
74.10%
1.27B
122.00%
714.19M
43.72%
204.19M
71.41%
126.90M
37.85%

All numbers in INR (except ratios and percentages)