av/inox-wind--big.svg

NSE:INOXWIND

Inox Wind Limited

  • Stock

INR

Last Close

164.45

26/07 10:00

Market Cap

206.13B

Beta: 0.54

Volume Today

16.54M

Avg: 365.91K

PE Ratio

−29.09

PFCF: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
1.28B
-
3.89B
204.50%
6.27B
61.23%
3.03B
51.66%
-1.88B
161.86%
-399.79M
78.69%
-2.79B
598.87%
-3.07B
9.92%
-4.30B
39.94%
-6.71B
56.05%
-383M
94.29%
depreciation and amortization
116.09M
-
203.51M
75.31%
333.62M
63.93%
437.45M
31.12%
522.66M
19.48%
660.60M
26.39%
803.01M
21.56%
880.27M
9.62%
886.69M
0.73%
1.06B
19.73%
1.10B
3.57%
deferred income tax
stock based compensation
change in working capital
-2.39B
-
-4.61B
92.84%
-7.24B
57.13%
-3.08B
57.40%
3.61B
216.90%
-112.51M
103.12%
6.91B
6,243.25%
-579.70M
108.39%
-3.74B
545.67%
-8.83B
136.01%
-6.16B
30.30%
accounts receivables
-2.84B
-
-371.03M
86.93%
1.75B
572.28%
1.62B
7.39%
978.82M
39.69%
-4.79B
589.68%
inventory
-1.84B
-
-1.53B
16.91%
-1.15B
25.01%
-1.23B
7.37%
-2.39B
93.82%
-144.33M
93.96%
-522.18M
261.79%
791.37M
251.55%
2.98B
276.74%
-1.29B
143.20%
-1.03B
19.94%
accounts payables
3.93B
-
400.08M
89.82%
358.90M
10.29%
-6.42B
1,887.98%
-307.40M
95.21%
-1.25B
305.17%
other working capital
-546.14M
-
-3.08B
463.18%
-6.09B
98.03%
-1.85B
69.61%
5.99B
423.89%
-1.06B
117.67%
7.41B
799.09%
-3.48B
147.03%
-1.93B
44.57%
-8.22B
325.73%
912.90M
111.11%
other non cash items
115.14M
-
-547.36M
575.39%
-996.78M
82.11%
750.20M
175.26%
442.06M
41.08%
1.32B
199.02%
2.41B
82.21%
1.65B
31.29%
2.93B
77.33%
3.49B
18.80%
10.54B
202.23%
net cash provided by operating activities
-879.97M
-
-1.06B
20.42%
-1.63B
53.67%
1.14B
169.80%
2.69B
136.98%
1.47B
45.42%
7.33B
398.56%
-1.12B
115.22%
-4.22B
278.21%
-10.99B
160.53%
-4.17B
62.05%
investments in property plant and equipment
-440.15M
-
-1.04B
136.09%
-4.04B
288.60%
-2.90B
28.21%
-1.86B
35.93%
-1.37B
26.02%
-2.96B
115.36%
-1.20B
59.32%
-1.79B
49.07%
-3.88B
116.16%
-7.51B
93.50%
acquisitions net
-19.10M
-
-39.03M
-
-72.95M
86.91%
-600K
99.18%
-700M
116,566.67%
495.19M
170.74%
-73.53M
114.85%
27.85M
137.88%
325.10M
1,067.24%
-860.30M
364.63%
purchases of investments
-3.90B
-
-3.01B
-
-1.87B
37.85%
-500K
99.97%
-901.22M
180,144.80%
-208.41M
76.88%
123.34M
159.18%
-466.55M
478.26%
-2.75B
489.69%
-27.90M
98.99%
sales maturities of investments
3.47B
-
490.02M
85.86%
2.45B
400.60%
1.90B
22.70%
4.09B
115.83%
200.41M
95.10%
497K
99.75%
627.88M
126,235.01%
91.42M
85.44%
2.47B
2,605.46%
502.90M
79.67%
other investing activites
474.30M
-
-934.03M
296.93%
-5.06B
441.71%
2.90B
157.33%
1.09B
62.41%
139.42M
87.21%
-785.36M
663.31%
40.25M
105.13%
874.80M
2,073.19%
6.14B
601.67%
100K
100.00%
net cash used for investing activites
-419.50M
-
-1.48B
253.55%
-9.70B
553.74%
-47.08M
99.51%
3.32B
7,161.15%
-2.64B
179.27%
-3.46B
31.19%
-485.92M
85.95%
-1.27B
160.76%
2.31B
281.99%
-7.89B
442.22%
debt repayment
-387.50M
-
-800M
106.45%
-690.95M
13.63%
-239.85M
65.29%
-3.24B
1,252.38%
-2.38B
26.51%
-1.96B
17.98%
-3.38B
73.04%
-1.35B
59.99%
-1.67B
23.46%
-1.87B
11.78%
common stock issued
7B
-
490K
-
7.41B
-
10.10B
36.22%
common stock repurchased
dividends paid
other financing activites
1.71B
-
3.38B
97.74%
5.71B
68.55%
433.37M
92.40%
-4.36B
1,106.33%
3.15B
172.12%
-1.90B
160.29%
6.20B
427.16%
6.21B
0.16%
2.50B
59.82%
1.10M
99.96%
net cash used provided by financing activities
1.32B
-
9.58B
623.75%
5.01B
47.69%
193.52M
96.14%
-7.60B
4,029.76%
762.09M
110.02%
-3.85B
605.38%
2.82B
173.25%
4.86B
72.28%
8.24B
69.54%
11.97B
45.25%
effect of forex changes on cash
149.21K
-
8.39M
-
18K
99.79%
-775K
-
2.25M
390.45%
-7.40M
428.74%
net change in cash
25.02M
-
7.04B
28,051.72%
-6.30B
189.48%
1.28B
120.36%
-1.59B
223.65%
-403.30M
74.58%
20.50M
105.08%
1.22B
5,845.93%
-623.75M
151.17%
-446.40M
28.43%
-318.30M
28.70%
cash at beginning of period
15.16M
-
18.68M
23.16%
7.06B
37,709.14%
759.26M
89.25%
2.04B
168.99%
455.82M
77.68%
52.53M
88.48%
73.03M
39.03%
1.29B
1,669.15%
668.20M
48.28%
857.50M
28.33%
cash at end of period
40.18M
-
7.06B
17,473.78%
759.26M
89.25%
2.04B
168.99%
455.82M
77.68%
52.53M
88.48%
73.03M
39.03%
1.29B
1,669.15%
668.19M
48.28%
221.80M
66.81%
539.20M
143.10%
operating cash flow
-879.97M
-
-1.06B
20.42%
-1.63B
53.67%
1.14B
169.80%
2.69B
136.98%
1.47B
45.42%
7.33B
398.56%
-1.12B
115.22%
-4.22B
278.21%
-10.99B
160.53%
-4.17B
62.05%
capital expenditure
-440.15M
-
-1.04B
136.09%
-4.04B
288.60%
-2.90B
28.21%
-1.86B
35.93%
-1.37B
26.02%
-2.96B
115.36%
-1.20B
59.32%
-1.79B
49.07%
-3.88B
116.16%
-7.51B
93.50%
free cash flow
-1.32B
-
-2.10B
58.98%
-5.67B
169.99%
-1.76B
68.90%
836.30M
147.45%
96.01M
88.52%
4.37B
4,451.70%
-2.32B
153.08%
-6.01B
159.28%
-14.87B
147.29%
-11.68B
21.47%

All numbers in INR (except ratios and percentages)