av/ifb-industries--big.svg

NSE:IFBIND

IFB Industries Limited

  • Stock

INR

Last Close

1,428.25

18/05 06:59

Market Cap

50.07B

Beta: 1.20

Volume Today

4.44K

Avg: 53.88K

PE Ratio

187.39

PFCF: -

Jun '13
Sep '13
Dec '13
Mar '14
Jun '14
Sep '14
Dec '14
Mar '15
Jun '15
Sep '15
Dec '15
Mar '16
Jun '16
Sep '16
Dec '16
Mar '17
Jun '17
Sep '17
Dec '17
Mar '18
Jun '18
Sep '18
Dec '18
Mar '19
Jun '19
Sep '19
Dec '19
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
net income
35.10M
-
1.50M
95.73%
88.40M
5,793.33%
91M
2.94%
173.50M
90.66%
154.10M
11.18%
157.80M
2.40%
11.90M
92.46%
105.40M
785.71%
93.20M
11.57%
64.80M
30.47%
50.20M
22.53%
149.10M
197.01%
178M
19.38%
155.80M
12.47%
49.80M
68.04%
69.50M
39.56%
360.10M
418.13%
175.80M
51.18%
204.30M
16.21%
142.20M
30.40%
346.90M
143.95%
185.10M
46.64%
55.30M
70.12%
100.60M
81.92%
220.10M
118.79%
148.30M
32.62%
-194.90M
231.42%
-450M
130.89%
318.70M
170.82%
686.60M
115.44%
85.80M
87.50%
-412.50M
580.77%
245.90M
159.61%
-32.10M
113.05%
-282.90M
781.31%
19M
106.72%
241.20M
1,169.47%
-11.40M
104.73%
-99.40M
771.93%
-6.20M
93.76%
215.30M
3,572.58%
174.50M
18.95%
depreciation and amortization
51.10M
-
53.80M
5.28%
60.30M
12.08%
38.60M
35.99%
4.80M
87.56%
91.30M
1,802.08%
91.70M
0.44%
197.90M
115.81%
114.30M
42.24%
118.70M
3.85%
117.40M
1.10%
84.30M
28.19%
105.40M
25.03%
109.20M
3.61%
107.90M
1.19%
102.20M
5.28%
290.30M
-
300.40M
3.48%
338.10M
12.55%
302.40M
10.56%
303.50M
0.36%
318M
4.78%
deferred income tax
stock based compensation
change in working capital
-483.80M
-
-859.70M
-
-161.50M
-
-575.80M
-
accounts receivables
-248.70M
-
-183M
-
-248.70M
-
-318.50M
-
inventory
-235.10M
-
-676.70M
-
87.20M
-
-257.30M
-
accounts payables
other working capital
other non cash items
9.40M
-
-452.60M
4,914.89%
-15.10M
96.66%
728.70M
4,925.83%
25M
96.57%
-317.40M
1,369.60%
132.80M
141.84%
960.10M
622.97%
-529.30M
155.13%
-165.80M
68.68%
282.50M
270.39%
313.20M
10.87%
-70.30M
122.45%
-34.50M
50.92%
-55.90M
62.03%
627M
1,221.65%
-69.50M
111.08%
-360.10M
418.13%
-175.80M
51.18%
-204.30M
16.21%
-142.20M
30.40%
-346.90M
143.95%
-185.10M
46.64%
-55.30M
70.12%
-100.60M
81.92%
-220.10M
118.79%
-148.30M
32.62%
194.90M
231.42%
450M
130.89%
-318.70M
170.82%
-686.60M
115.44%
-85.80M
87.50%
412.50M
580.77%
-245.90M
159.61%
32.10M
113.05%
282.90M
781.31%
-19M
106.72%
49.10M
358.42%
311.80M
535.03%
437.50M
40.31%
308.60M
29.46%
88.20M
71.42%
143.50M
62.70%
net cash provided by operating activities
95.60M
-
-397.30M
515.59%
133.60M
133.63%
374.50M
180.31%
203.30M
45.71%
-72M
135.42%
382.30M
630.97%
310.20M
18.86%
-309.60M
199.81%
46.10M
114.89%
464.70M
908.03%
286.20M
38.41%
184.20M
35.64%
252.70M
37.19%
207.80M
17.77%
203.20M
2.21%
580.60M
-
600.80M
3.48%
676.20M
12.55%
604.80M
10.56%
607M
0.36%
636M
4.78%
investments in property plant and equipment
-301.80M
-
-115.10M
61.86%
-120M
4.26%
-44.10M
63.25%
-162M
267.35%
-99.40M
38.64%
-237.30M
138.73%
-377.30M
59.00%
-148.80M
60.56%
-136.30M
8.40%
-196.40M
44.09%
-203.80M
3.77%
-122.30M
39.99%
-132.70M
8.50%
-222.60M
67.75%
-161.10M
27.63%
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
-184.70M
-
397.60M
315.27%
-109.20M
127.46%
117.10M
207.23%
-310M
364.73%
112.90M
136.42%
-176.40M
256.24%
346.40M
296.37%
145.40M
58.03%
-62.50M
142.98%
-77.50M
24%
470.20M
706.71%
-381.30M
181.09%
-75.20M
80.28%
-55.70M
25.93%
198.90M
457.09%
net cash used for investing activites
-486.50M
-
282.50M
158.07%
-229.20M
181.13%
73M
131.85%
-472M
746.58%
13.50M
102.86%
-413.70M
3,164.44%
-30.90M
92.53%
-3.40M
89.00%
-198.80M
5,747.06%
-273.90M
37.78%
266.40M
197.26%
-503.60M
289.04%
-207.90M
58.72%
-278.30M
33.86%
37.80M
113.58%
debt repayment
common stock issued
common stock repurchased
dividends paid
other financing activites
353.20M
-
82.70M
76.59%
149.30M
80.53%
-217.50M
245.68%
114.80M
152.78%
24.20M
78.92%
140.50M
480.58%
-432.80M
408.04%
403.50M
193.23%
135.60M
66.39%
-268.70M
298.16%
-478.80M
78.19%
450.30M
194.05%
-189.70M
142.13%
127M
166.95%
-302.40M
338.11%
net cash used provided by financing activities
353.20M
-
82.70M
76.59%
149.30M
80.53%
-217.50M
245.68%
114.80M
152.78%
24.20M
78.92%
140.50M
480.58%
-432.80M
408.04%
403.50M
193.23%
135.60M
66.39%
-268.70M
298.16%
-478.80M
78.19%
450.30M
194.05%
-189.70M
142.13%
127M
166.95%
-302.40M
338.11%
effect of forex changes on cash
-10.80M
-
85.80M
894.44%
-21.30M
-
43.10M
302.35%
-43.10M
-
38.70M
189.79%
-38.70M
-
6M
115.50%
-6M
-
net change in cash
-48.50M
-
53.70M
210.72%
208.70M
-
-110.80M
153.09%
-34.30M
69.04%
109.10M
418.08%
-196.60M
280.20%
129.20M
165.72%
-17.10M
113.24%
-77.90M
355.56%
35.10M
145.06%
136.90M
290.03%
-144.90M
205.84%
56.50M
138.99%
-67.40M
219.29%
27.80M
-
600.80M
2,061.15%
676.20M
12.55%
604.80M
10.56%
607M
0.36%
636M
4.78%
cash at beginning of period
425M
-
376.50M
11.41%
430.20M
14.26%
430.20M
0%
638.90M
48.51%
528.10M
17.34%
493.80M
6.49%
602.90M
22.09%
406.30M
32.61%
535.50M
31.80%
518.40M
3.19%
440.50M
15.03%
475.60M
7.97%
612.50M
28.78%
467.60M
23.66%
524.10M
12.08%
456.70M
12.86%
1.12B
-
1.14B
2.49%
84M
92.66%
760.20M
805.00%
477.80M
37.15%
1.08B
127.04%
cash at end of period
376.50M
-
430.20M
14.26%
430.20M
0%
638.90M
48.51%
528.10M
17.34%
493.80M
6.49%
602.90M
22.09%
406.30M
32.61%
535.50M
31.80%
518.40M
3.19%
440.50M
15.03%
475.60M
7.97%
612.50M
28.78%
467.60M
23.66%
524.10M
12.08%
456.70M
12.86%
456.70M
0%
1.14B
-
1.75B
52.48%
760.20M
56.45%
1.36B
79.56%
1.08B
20.53%
1.72B
58.63%
operating cash flow
95.60M
-
-397.30M
515.59%
133.60M
133.63%
374.50M
180.31%
203.30M
45.71%
-72M
135.42%
382.30M
630.97%
310.20M
18.86%
-309.60M
199.81%
46.10M
114.89%
464.70M
908.03%
286.20M
38.41%
184.20M
35.64%
252.70M
37.19%
207.80M
17.77%
203.20M
2.21%
580.60M
-
600.80M
3.48%
676.20M
12.55%
604.80M
10.56%
607M
0.36%
636M
4.78%
capital expenditure
-301.80M
-
-115.10M
61.86%
-120M
4.26%
-44.10M
63.25%
-162M
267.35%
-99.40M
38.64%
-237.30M
138.73%
-377.30M
59.00%
-148.80M
60.56%
-136.30M
8.40%
-196.40M
44.09%
-203.80M
3.77%
-122.30M
39.99%
-132.70M
8.50%
-222.60M
67.75%
-161.10M
27.63%
free cash flow
-206.20M
-
-512.40M
148.50%
13.60M
102.65%
330.40M
2,329.41%
41.30M
87.50%
-171.40M
515.01%
145M
184.60%
-67.10M
146.28%
-458.40M
583.16%
-90.20M
80.32%
268.30M
397.45%
82.40M
69.29%
61.90M
24.88%
120.00M
93.86%
-14.80M
112.33%
42.10M
384.46%
580.60M
-
600.80M
3.48%
676.20M
12.55%
604.80M
10.56%
607M
0.36%
636M
4.78%

All numbers in INR (except ratios and percentages)