NSE:IFBIND
IFB Industries Ltd
- Stock
Last Close
1,655.70
08/11 09:59
Market Cap
65.41B
Beta: 1.20
Volume Today
106.06K
Avg: 53.88K
PE Ratio
187.39
PFCF: -
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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 | Mar '24 | Jun '24 | ||
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net income | 88.40M - | 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% | 120M 31.23% | 375.40M 212.83% | |
depreciation and amortization | 60.30M - | 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 | -15.10M - | 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% | -120M 183.62% | -375.40M 212.83% | |
net cash provided by operating activities | 133.60M - | 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 | -120M - | -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 | -109.20M - | 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 | -229.20M - | 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 | 149.30M - | -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 | 149.30M - | -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 | -21.30M - | 43.10M 302.35% | -43.10M - | 38.70M 189.79% | -38.70M - | 6M 115.50% | -6M - | |||||||||||||||||||||||||||||||||||||
net change in cash | 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 | 430.20M - | 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 | 430.20M - | 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 | 133.60M - | 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 | -120M - | -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 | 13.60M - | 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)