NSE:KTKBANK
The Karnataka Bank Limited
- Stock
Last Close
233.10
03/05 10:00
Market Cap
85.77B
Beta: 0.97
Volume Today
1.64M
Avg: 1.23M
PE Ratio
6.27
PFCF: -
Dividend Yield
1.95%
Payout:0%
Mar '14 | Mar '15 | Mar '16 | Mar '17 | Mar '18 | Mar '19 | Mar '20 | Mar '21 | Mar '22 | Mar '23 | ||
---|---|---|---|---|---|---|---|---|---|---|---|
net income | 5.49B - | 5.75B 4.80% | 4.15B 27.82% | 4.52B 8.90% | 3.26B 28.00% | 4.77B 46.57% | 4.32B 9.53% | 4.82B 11.74% | 5.08B 5.29% | 11.80B 132.22% | |
depreciation and amortization | 255.32M - | -141.68M 155.49% | 422.37M 398.12% | 497.51M 17.79% | 500.55M 0.61% | 541.75M 8.23% | 637.65M 17.70% | 735.23M 15.30% | 736.93M 0.23% | 864.40M 17.30% | |
deferred income tax | |||||||||||
stock based compensation | |||||||||||
change in working capital | -3.06B - | 1.69B 155.30% | -1.10B 164.95% | -10.16B 825.17% | -6.22B 38.82% | -35.89B 477.31% | -16.72B 53.40% | 15.03B 189.86% | -20.56B 236.79% | -4.43B 78.45% | |
accounts receivables | |||||||||||
inventory | |||||||||||
accounts payables | |||||||||||
other working capital | |||||||||||
other non cash items | 1.35B - | -821.71M 160.75% | 2.88B 450.79% | 3.30B 14.51% | 9.67B 192.94% | 8.27B 14.50% | 10.87B 31.52% | 13.10B 20.44% | 10.06B 23.15% | 10.07B 0.02% | |
net cash provided by operating activities | 4.04B - | 6.48B 60.45% | 6.36B 1.88% | -1.84B 128.95% | 7.21B 491.54% | -22.31B 409.49% | -895.96M 95.98% | 33.68B 3,859.38% | -4.67B 113.88% | 18.30B 491.41% | |
investments in property plant and equipment | -568.93M - | -812.02M 42.73% | -585.54M 27.89% | -411.82M 29.67% | -915.50M 122.31% | -691.73M 24.44% | -575.29M 16.83% | -876.23M 52.31% | -565.96M 35.41% | -888.10M 56.92% | |
acquisitions net | 16.33M - | 14.81M 9.33% | -5M 133.76% | -5M 0% | -5M 0% | ||||||
purchases of investments | -8.51B - | -14.31B 68.15% | -43.11B 201.18% | -6.10B 85.84% | -15.71B 157.36% | ||||||
sales maturities of investments | 8.50B - | 14.30B 68.30% | 43.11B 201.50% | 6.10B 85.84% | 15.71B 157.36% | ||||||
other investing activites | 25.64M - | 7.06M 72.46% | 6.38M 9.67% | 13.20M 106.90% | 2.08M 84.25% | 16.33M 685.57% | 14.81M 9.33% | 7.11M 52.02% | 6.62M 6.90% | 17.90M 170.60% | |
net cash used for investing activites | -543.28M - | -804.96M 48.16% | -579.16M 28.05% | -398.62M 31.17% | -913.42M 129.15% | -675.40M 26.06% | -560.48M 17.02% | -874.12M 55.96% | -564.34M 35.44% | -875.20M 55.08% | |
debt repayment | -2.04B - | -344.11M 83.11% | -895.15M 160.14% | -1.67B 86.13% | -24.10B 1,346.20% | -4.25B 82.35% | -8.85B 108.11% | -3.01B 66.03% | -985.50M 67.23% | ||
common stock issued | 3.19M - | 1.58M 50.44% | 427K 73.01% | 6.55B 1,533,878.92% | 122K 100.00% | 1K 99.18% | 61K 6,000% | 4.72M 7,632.79% | 17.49M 270.87% | 65.10M 272.13% | |
common stock repurchased | -24.10B - | -29.42B 22.11% | -48.17B - | -985.50M 97.95% | |||||||
dividends paid | -873.22M - | -872.36M 0.10% | -1.13B 29.40% | -1.12B 0.42% | -1.36B 20.95% | -1.02B 24.82% | -1.19B 16.67% | -559.57M - | -1.25B 122.53% | ||
other financing activites | 1.21B - | 72.29B - | 29.42B 59.30% | 862.71M 97.07% | 48.17B 5,483.95% | 2.96B 93.86% | |||||
net cash used provided by financing activities | 340.04M - | -2.91B 955.33% | -1.47B 49.37% | 4.53B 407.70% | -3.03B 166.78% | 23.07B 862.61% | -5.45B 123.60% | -8.85B 62.46% | -3.55B 59.89% | -194.60M 94.52% | |
effect of forex changes on cash | -1K - | -10K 900% | |||||||||
net change in cash | 3.84B - | 2.77B 27.85% | 4.31B 55.65% | 2.29B 46.81% | 3.27B 42.72% | 87.35M 97.33% | -6.90B 8,002.12% | 23.96B 447.13% | -8.79B 136.68% | 17.23B 296.03% | |
cash at beginning of period | 19.54B - | 23.37B 19.63% | 26.14B 11.84% | 30.45B 16.48% | 32.74B 7.52% | 36.01B 9.99% | 36.10B 0.24% | 29.19B 19.12% | 53.16B 82.07% | 44.37B 16.53% | |
cash at end of period | 23.37B - | 26.14B 11.84% | 30.45B 16.48% | 32.74B 7.52% | 36.01B 9.99% | 36.10B 0.24% | 29.19B 19.12% | 53.16B 82.07% | 44.37B 16.53% | 61.59B 38.83% | |
operating cash flow | 4.04B - | 6.48B 60.45% | 6.36B 1.88% | -1.84B 128.95% | 7.21B 491.54% | -22.31B 409.49% | -895.96M 95.98% | 33.68B 3,859.38% | -4.67B 113.88% | 18.30B 491.41% | |
capital expenditure | -568.93M - | -812.02M 42.73% | -585.54M 27.89% | -411.82M 29.67% | -915.50M 122.31% | -691.73M 24.44% | -575.29M 16.83% | -876.23M 52.31% | -565.96M 35.41% | -888.10M 56.92% | |
free cash flow | 3.47B - | 5.67B 63.35% | 5.77B 1.85% | -2.25B 139.02% | 6.29B 379.34% | -23.00B 465.50% | -1.47B 93.60% | 32.81B 2,329.83% | -5.24B 115.97% | 17.41B 432.20% |
All numbers in INR (except ratios and percentages)