av/jubilant-industries--big.svg

NSE:JUBLINDS

Jubilant Industries

  • Stock

INR

Last Close

1,633.50

25/10 09:59

Market Cap

21.90B

Beta: 1.07

Volume Today

27.21K

Avg: 10.63K

PE Ratio

20.03

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 '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
-1.18B
-
-94.56M
91.98%
-1.68M
98.22%
-45.95M
2,635.12%
20.74M
145.14%
172.88M
733.56%
251.80M
45.65%
723.90M
187.49%
834.70M
15.31%
397.90M
52.33%
depreciation and amortization
307.44M
-
1.25M
99.59%
90.98M
7,178.40%
90.73M
0.27%
90.66M
0.08%
115.03M
26.88%
126.63M
10.08%
126.88M
0.20%
142.10M
12.00%
150.50M
5.91%
deferred income tax
7.01M
-
5.82M
16.98%
-2.51M
143.13%
-11.97M
376.89%
stock based compensation
2.37M
-
1.85M
21.94%
190K
89.73%
3.08M
1,521.05%
7.67M
149.03%
13.70M
78.62%
30.70M
124.09%
change in working capital
-18.54M
-
11.67M
162.94%
-6.27M
153.73%
103.69M
1,753.75%
273.54M
163.81%
-28.97M
110.59%
92.04M
417.71%
-702.81M
863.59%
-938M
33.46%
16.90M
101.80%
accounts receivables
-9.33M
-
29.87M
420.15%
-178.54M
697.72%
-1.19B
566.53%
-415.90M
65.05%
-137.10M
67.04%
inventory
139.90M
-
-320K
100.23%
-31.53M
9,753.13%
-98.01M
210.85%
66.50M
167.85%
-78.82M
218.53%
-172.71M
119.12%
-1.41B
717.50%
453.50M
132.12%
-477.70M
205.34%
accounts payables
216.37M
-
19.98M
90.77%
443.29M
2,118.67%
1.90B
328.41%
-975.63M
151.37%
631.70M
164.75%
other working capital
-158.44M
-
11.99M
107.57%
25.26M
110.68%
201.70M
698.50%
30K
-
other non cash items
729.10M
-
80.72M
88.93%
393.43M
387.40%
254.64M
35.28%
248.88M
2.26%
216.09M
13.18%
156.98M
27.35%
144.27M
8.10%
92M
36.23%
196.80M
113.91%
net cash provided by operating activities
-161.36M
-
-920K
99.43%
476.46M
51,889.13%
412.49M
13.43%
641.49M
55.52%
472.71M
26.31%
618.56M
30.85%
299.91M
51.51%
144.50M
51.82%
758.80M
425.12%
investments in property plant and equipment
-224.61M
-
-150K
99.93%
-143.11M
95,306.67%
-63.38M
55.71%
-71.53M
12.86%
-194.21M
171.51%
-69.45M
64.24%
-234.19M
237.21%
-197.70M
15.58%
-199.20M
0.76%
acquisitions net
3.26M
-
2.50M
23.31%
490K
80.40%
530K
8.16%
9.12M
1,620.75%
11.10M
21.71%
purchases of investments
-14.62M
-
-9.21M
37.00%
sales maturities of investments
14.09M
-
90K
99.36%
other investing activites
120K
-
30K
75%
4.11M
13,600%
5.55M
35.04%
3.22M
41.98%
390K
87.89%
106.25M
27,143.59%
17.18M
83.83%
15.40M
10.36%
net cash used for investing activites
-224.49M
-
-120K
99.95%
-139M
115,733.33%
-57.83M
58.40%
-65.05M
12.48%
-191.32M
194.11%
37.29M
119.49%
-217.01M
681.95%
-182.30M
15.99%
-187.20M
2.69%
debt repayment
-273.23M
-
-1.06M
99.61%
-74.02M
6,883.02%
-2.06B
2,687.11%
-808.66M
60.80%
-465M
42.50%
-417.50M
10.22%
-365.70M
12.41%
-682.20M
86.55%
-263M
61.45%
common stock issued
3.98M
-
2.93M
26.38%
1.73M
40.96%
288.89M
16,598.84%
132.55M
54.12%
4.10M
-
common stock repurchased
dividends paid
-240K
-
other financing activites
642.17M
-
-200K
100.03%
-292.81M
146,305%
1.75B
696.09%
-93.31M
105.35%
35.97M
138.55%
-189.26M
626.16%
275.82M
245.74%
699.10M
153.46%
net cash used provided by financing activities
368.94M
-
2.72M
99.26%
-363.90M
13,478.68%
-315.88M
13.20%
-613.32M
94.16%
-296.48M
51.66%
-606.76M
104.65%
-89.88M
85.19%
21M
123.36%
-470.30M
2,339.52%
effect of forex changes on cash
-530K
-
-910K
-
-930K
2.20%
2.05M
320.43%
1.52M
25.85%
-4.67M
407.24%
6.04M
229.34%
-2.90M
148.01%
200K
106.90%
net change in cash
-17.44M
-
1.68M
109.63%
-27.35M
1,727.98%
37.85M
238.39%
-34.83M
192.02%
-13.57M
61.04%
44.42M
427.34%
-940K
102.12%
-19.70M
1,995.74%
101.50M
615.23%
cash at beginning of period
65.90M
-
1.49M
97.74%
58.18M
3,804.70%
30.83M
47.01%
68.68M
122.77%
33.85M
50.71%
20.28M
40.09%
64.70M
219.03%
63.80M
1.39%
44.10M
30.88%
cash at end of period
48.46M
-
3.17M
93.46%
30.83M
872.56%
68.68M
122.77%
33.85M
50.71%
20.28M
40.09%
64.70M
219.03%
63.76M
1.45%
44.10M
30.83%
145.60M
230.16%
operating cash flow
-161.36M
-
-920K
99.43%
476.46M
51,889.13%
412.49M
13.43%
641.49M
55.52%
472.71M
26.31%
618.56M
30.85%
299.91M
51.51%
144.50M
51.82%
758.80M
425.12%
capital expenditure
-224.61M
-
-150K
99.93%
-143.11M
95,306.67%
-63.38M
55.71%
-71.53M
12.86%
-194.21M
171.51%
-69.45M
64.24%
-234.19M
237.21%
-197.70M
15.58%
-199.20M
0.76%
free cash flow
-385.97M
-
-1.07M
99.72%
333.35M
31,254.21%
349.11M
4.73%
569.96M
63.26%
278.50M
51.14%
549.11M
97.17%
65.72M
88.03%
-53.20M
180.95%
559.60M
1,151.88%

All numbers in INR (except ratios and percentages)