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NSE:KRBL

KRBL Limited

  • Stock

INR

Last Close

299.35

30/08 10:00

Market Cap

73.29B

Beta: 0.84

Volume Today

2.03M

Avg: 409.88K

PE Ratio

12.61

PFCF: -

Dividend Yield

0.28%

Payout:0%

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Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
3.26B
-
3.94B
20.73%
4.30B
9.03%
5.38B
25.10%
6.55B
21.85%
7.33B
11.90%
7.58B
3.35%
7.49B
1.08%
6.17B
17.65%
9.41B
52.51%
5.96B
36.69%
depreciation and amortization
576.59M
-
526.93M
8.61%
500.59M
5.00%
614.20M
22.69%
677.77M
10.35%
644.60M
4.89%
728.80M
13.06%
719.50M
1.28%
742.20M
3.15%
756.50M
1.93%
793.70M
4.92%
deferred income tax
stock based compensation
change in working capital
-5.33B
-
-1.14B
78.58%
602.16M
152.72%
-2.74B
555.48%
-5.46B
99.24%
-7.56B
38.33%
5.14B
167.96%
-2.46B
147.89%
599M
124.35%
-10.62B
1,873.02%
-4.06B
61.81%
accounts receivables
-1.64B
-
1.68B
202.62%
265.20M
84.21%
-852.80M
421.57%
-28.30M
96.68%
-413.10M
1,359.72%
inventory
-4.30B
-
-1.70B
60.52%
1.15B
168.04%
-2.24B
294.32%
-4.43B
97.39%
-6.67B
50.57%
2.77B
141.55%
-1.12B
140.36%
1.48B
232.49%
-13.70B
1,025.10%
-2.64B
80.70%
accounts payables
1.16B
-
1.60B
38.43%
-1.64B
202.26%
-361.90M
77.91%
-597.40M
65.07%
-83.80M
85.97%
other working capital
-1.04B
-
554.41M
153.52%
-552.12M
199.59%
-499.69M
9.50%
-1.04B
107.51%
-412.80M
60.19%
-914.50M
121.54%
31.10M
103.40%
332.60M
969.45%
3.71B
1,014.55%
-914.90M
124.68%
other non cash items
-89.14M
-
39.57M
144.39%
-340.69M
961.03%
-660.21M
93.78%
-1.35B
103.99%
-1.56B
15.78%
-1.32B
15.19%
-1.92B
44.87%
-1.90B
0.60%
-3.15B
65.36%
4.44B
240.85%
net cash provided by operating activities
-1.58B
-
3.37B
312.80%
5.06B
50.32%
2.59B
48.87%
416.68M
83.89%
-1.14B
374.45%
12.12B
1,159.71%
3.84B
68.34%
5.61B
46.15%
-3.60B
164.21%
2.40B
166.72%
investments in property plant and equipment
-1.77B
-
-2.32B
30.98%
-1.72B
25.73%
-2.07B
20.26%
-390.19M
81.17%
-224.80M
42.39%
-426.60M
89.77%
-414.20M
2.91%
-421.40M
1.74%
-593.10M
40.75%
-859.40M
44.90%
acquisitions net
81.40M
-
179.30M
120.27%
46M
74.34%
1.70B
3,593.48%
770.50M
54.65%
5.60M
99.27%
purchases of investments
-5.76B
-
-9B
56.12%
-8.82B
2.05%
-24.37B
176.48%
-34.22B
40.39%
-32.85B
3.98%
sales maturities of investments
3.05M
-
598K
80.37%
654K
9.36%
-17.11M
2,716.06%
-242.27M
1,316.04%
5.81B
2,496.99%
9.01B
55.08%
8.79B
2.40%
22.67B
157.97%
34.25B
51.05%
32.47B
5.19%
other investing activites
6.20M
-
5.27M
15.03%
5.77M
9.51%
6.91M
19.72%
22.28M
222.46%
303.10M
1,260.47%
-293.80M
196.93%
277.40M
194.42%
-1.64B
691.85%
1.85B
212.96%
133.30M
92.81%
net cash used for investing activites
-1.76B
-
-2.31B
31.34%
-1.72B
25.82%
-2.08B
21.30%
-610.18M
70.70%
202M
133.10%
-535.30M
365%
-116.70M
78.20%
-2.06B
1,667.95%
2.06B
200.02%
-1.24B
159.99%
debt repayment
-344.30M
-
-136.70M
60.30%
-136M
0.51%
-135.40M
0.44%
-58.70M
56.65%
-3.06B
5,107.67%
common stock issued
common stock repurchased
-153.56M
-
-4.04B
-
dividends paid
-189.59M
-
-281.70M
48.59%
-844.30M
199.72%
-2.79M
99.67%
-542.86M
19,350.52%
-541.40M
0.27%
-1.17B
116.01%
-77.60M
93.36%
-823.90M
961.73%
-824.10M
0.02%
-235.80M
71.39%
other financing activites
4.22B
-
-1.19B
128.16%
-2.46B
106.99%
-736.77M
70.03%
1.09B
247.67%
1.48B
36.09%
-10.18B
787.26%
-2.06B
79.78%
-2.26B
10.02%
930.60M
141.12%
-794.50M
185.38%
net cash used provided by financing activities
3.87B
-
-1.47B
137.93%
-3.30B
124.77%
-739.57M
77.61%
545.13M
173.71%
594.90M
9.13%
-11.48B
2,030.02%
-2.27B
80.22%
-3.22B
41.92%
47.80M
101.48%
-1.34B
2,911.09%
effect of forex changes on cash
100K
-
net change in cash
529.42M
-
-418.49M
179.05%
39.64M
109.47%
-235.40M
693.88%
351.63M
249.38%
-346.70M
198.60%
101.80M
129.36%
1.45B
1,324.26%
322.50M
77.76%
-1.49B
561.89%
-170M
88.59%
cash at beginning of period
132.45M
-
661.87M
399.72%
243.38M
63.23%
276.15M
13.46%
43.55M
84.23%
394.20M
805.27%
42.50M
89.22%
144.30M
239.53%
1.59B
1,004.78%
1.92B
20.24%
472.10M
75.37%
cash at end of period
661.87M
-
243.38M
63.23%
283.02M
16.29%
40.75M
85.60%
395.17M
869.65%
47.50M
87.98%
144.30M
203.79%
1.59B
1,004.78%
1.92B
20.23%
427.20M
77.71%
302.10M
29.28%
operating cash flow
-1.58B
-
3.37B
312.80%
5.06B
50.32%
2.59B
48.87%
416.68M
83.89%
-1.14B
374.45%
12.12B
1,159.71%
3.84B
68.34%
5.61B
46.15%
-3.60B
164.21%
2.40B
166.72%
capital expenditure
-1.77B
-
-2.32B
30.98%
-1.72B
25.73%
-2.07B
20.26%
-390.19M
81.17%
-224.80M
42.39%
-426.60M
89.77%
-414.20M
2.91%
-421.40M
1.74%
-593.10M
40.75%
-859.40M
44.90%
free cash flow
-3.35B
-
1.04B
131.16%
3.34B
219.24%
514.37M
84.58%
26.49M
94.85%
-1.37B
5,265.92%
11.69B
954.44%
3.42B
70.72%
5.19B
51.52%
-4.19B
180.86%
1.54B
136.79%

All numbers in INR (except ratios and percentages)