av/motilal--big.svg

NSE:MOTILALOFS

Motilal Oswal Group

  • Stock

INR

Last Close

652.75

02/05 08:51

Market Cap

318.19B

Beta: 0.46

Volume Today

1.17M

Avg: 91.22K

PE Ratio

13.81

PFCF: 896.81

Dividend Yield

0.17%

Payout:0%

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
Jan '15
Mar '15
Jun '15
Sep '15
Jan '16
Mar '16
Jun '16
Sep '16
Jan '17
Mar '17
Jun '17
Sep '17
Jan '18
Mar '18
Jun '18
Sep '18
Jan '19
Mar '19
Jun '19
Sep '19
Jan '20
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
net income
494.72M
-
429.32M
13.22%
283.80M
33.90%
434.10M
52.96%
561.35M
29.31%
471.60M
15.99%
791.70M
67.88%
1.02B
28.26%
1.11B
9.41%
901.50M
18.85%
1.02B
12.69%
1.44B
41.52%
1.92B
33.30%
1.48B
22.85%
1.04B
29.77%
41.90M
95.96%
960.98M
2,193.50%
1.46B
52.33%
1.29B
11.59%
1.42B
9.99%
712.98M
49.91%
-2.54B
456.04%
1.67B
165.78%
2.96B
77.53%
3.34B
12.62%
4.63B
38.72%
2.21B
52.27%
5.37B
142.72%
2.38B
55.59%
3.14B
31.76%
312.60M
90.04%
5.09B
1,529.14%
2.26B
55.53%
1.65B
27.26%
5.27B
219.89%
5.31B
0.81%
6.60B
24.23%
7.23B
9.58%
8.82B
21.96%
depreciation and amortization
76.68M
-
76.68M
0%
76.68M
0%
76.68M
0%
87.36M
13.93%
87.36M
0%
87.36M
0%
82.10M
-
82.10M
0%
82.10M
0%
93.72M
-
93.72M
0%
93.72M
0%
59.88M
-
59.88M
0%
59.88M
0%
99.28M
-
99.28M
0%
99.28M
0%
99.28M
0%
155.70M
-
167M
7.26%
127.50M
23.65%
173.50M
36.08%
172.60M
0.52%
240.30M
39.22%
deferred income tax
stock based compensation
1.69M
-
1.69M
0%
1.69M
0%
81.85M
-
81.85M
0%
81.85M
0%
47.42M
-
47.42M
0%
47.42M
0%
27.45M
-
27.45M
0%
27.45M
0%
27.45M
0%
198.60M
-
244.90M
-
290.40M
-
249M
-
change in working capital
-1.24B
-
-1.24B
0%
-1.24B
0%
-1.24B
0%
-3.69B
196.15%
-3.69B
0%
-3.69B
0%
-5.75B
-
-5.75B
0%
-5.75B
0%
-1.53B
-
-1.53B
0%
-1.53B
0%
-848.90M
-
-848.90M
0%
-848.90M
0%
1.21B
-
1.21B
0%
1.21B
0%
1.21B
0%
accounts receivables
inventory
151.56M
-
151.56M
0%
151.56M
0%
151.56M
0%
-225K
-
-225K
0%
-225K
0%
accounts payables
other working capital
-1.40B
-
-1.40B
0%
-1.40B
0%
-1.40B
0%
-1.53B
-
-1.53B
0%
-1.53B
0%
other non cash items
-116.25M
-
-50.85M
56.26%
94.67M
286.16%
-55.63M
158.77%
134.67M
342.07%
224.41M
66.64%
-95.69M
142.64%
-1.02B
961.19%
-353.41M
65.19%
-143.98M
59.26%
-258.38M
79.45%
-1.44B
456.43%
-282.35M
80.36%
155.63M
155.12%
595.83M
282.86%
-41.90M
107.03%
296.05M
806.56%
-206.88M
169.88%
-37.17M
82.03%
-1.42B
3,729.19%
324.90M
122.82%
3.58B
1,000.76%
-632.02M
117.67%
-1.93B
204.85%
-3.34B
73.28%
-4.83B
44.66%
-2.21B
54.24%
-5.37B
142.72%
-2.38B
55.59%
-3.38B
42.03%
-312.60M
90.76%
-4.94B
1,479.33%
-2.10B
57.51%
-1.77B
15.39%
-5.10B
187.14%
-5.14B
0.85%
-6.36B
23.72%
-7.48B
17.64%
-8.82B
17.90%
net cash provided by operating activities
-789.43M
-
-789.43M
0%
-789.43M
0%
-789.43M
0%
-2.90B
267.66%
-2.90B
0%
-2.90B
0%
-4.91B
-
-4.91B
0%
-4.91B
0%
279.50M
-
279.50M
0%
279.50M
0%
515.42M
-
515.42M
0%
515.42M
0%
2.38B
-
2.38B
0%
2.38B
0%
2.38B
0%
198.60M
-
244.90M
-
311.40M
-
334M
7.26%
290.40M
13.05%
347M
19.49%
345.20M
0.52%
480.60M
39.22%
investments in property plant and equipment
-65.97M
-
-65.97M
0%
-65.97M
0%
-65.97M
0%
-64.38M
-
-64.38M
0%
-64.38M
0%
-102.05M
-
-102.05M
0%
-102.05M
0%
-66.47M
-
-66.47M
0%
-66.47M
0%
-174.80M
-
-174.80M
0%
-174.80M
0%
-174.80M
0%
acquisitions net
purchases of investments
-21.35B
-
-21.35B
0%
-21.35B
0%
-40.35B
-
-40.35B
0%
-40.35B
0%
-35.18B
-
-35.18B
0%
-35.18B
0%
-17.91B
-
-17.91B
0%
-17.91B
0%
-1.47B
-
-1.47B
0%
-1.47B
0%
-1.47B
0%
sales maturities of investments
20.45B
-
20.45B
0%
20.45B
0%
39.57B
-
39.57B
0%
39.57B
0%
34.76B
-
34.76B
0%
34.76B
0%
17.98B
-
17.98B
0%
17.98B
0%
756M
-
756M
0%
756M
0%
756M
0%
other investing activites
65.97M
-
65.97M
0%
65.97M
0%
65.97M
0%
894.35M
1,255.79%
894.35M
0%
894.35M
0%
838.41M
-
838.41M
0%
838.41M
0%
516.88M
-
516.88M
0%
516.88M
0%
-6.85M
-
-6.85M
0%
-6.85M
0%
887.08M
-
887.08M
0%
887.08M
0%
887.08M
0%
net cash used for investing activites
-65.97M
-
-65.97M
0%
-65.97M
0%
-65.97M
0%
-961.74M
1,357.95%
-961.74M
0%
-961.74M
0%
-838.41M
-
-838.41M
0%
-838.41M
0%
-516.88M
-
-516.88M
0%
-516.88M
0%
6.85M
-
6.85M
0%
6.85M
0%
-887.08M
-
-887.08M
0%
-887.08M
0%
-887.08M
0%
debt repayment
-3.84B
-
-3.84B
0%
-3.84B
0%
common stock issued
83.13M
-
83.13M
0%
83.13M
0%
83.13M
0%
90.50M
8.87%
90.50M
0%
90.50M
0%
107.11M
-
107.11M
0%
107.11M
0%
52.05M
-
52.05M
0%
52.05M
0%
45.65M
-
45.65M
0%
45.65M
0%
100.97M
-
100.97M
0%
100.97M
0%
100.97M
0%
common stock repurchased
-62.50K
-
-62.50K
0%
-62.50K
0%
-62.50K
0%
dividends paid
-122.02M
-
-122.02M
0%
-122.02M
0%
-122.02M
0%
-191.22M
56.71%
-191.22M
0%
-191.22M
0%
-129.37M
-
-129.37M
0%
-129.37M
0%
-297.57M
-
-297.57M
0%
-297.57M
0%
-380.98M
-
-380.98M
0%
-380.98M
0%
-389.65M
-
-389.65M
0%
-389.65M
0%
-389.65M
0%
other financing activites
38.95M
-
38.95M
0%
38.95M
0%
38.95M
0%
3.94B
10,024.86%
3.94B
0%
3.94B
0%
22.27M
-
22.27M
0%
22.27M
0%
245.53M
-
245.53M
0%
245.53M
0%
335.32M
-
335.32M
0%
335.32M
0%
288.68M
-
288.68M
0%
288.68M
0%
288.68M
0%
net cash used provided by financing activities
-39.15M
-
-39.15M
0%
-39.15M
0%
-39.15M
0%
-3.94B
9,975.83%
-3.94B
0%
-3.94B
0%
-21.99M
-
-21.99M
0%
-21.99M
0%
-245.53M
-
-245.53M
0%
-245.53M
0%
-355.50M
-
-355.50M
0%
-355.50M
0%
-282.63M
-
-282.63M
0%
-282.63M
0%
-282.63M
0%
effect of forex changes on cash
-345K
-
-345K
0%
-345K
0%
-345K
0%
-1.01M
194.20%
-1.01M
0%
-1.01M
0%
-1.90M
-
-1.90M
0%
-1.90M
0%
4.03M
-
4.03M
0%
4.03M
0%
2.30M
-
2.30M
0%
2.30M
0%
-31.20M
-
-31.20M
0%
-31.20M
0%
-31.20M
0%
net change in cash
274.62M
-
274.62M
0%
274.62M
0%
274.62M
0%
240.64M
12.37%
240.64M
0%
240.64M
0%
313.20M
-
313.20M
0%
313.20M
0%
-22.32M
-
-22.32M
0%
-22.32M
0%
169.70M
-
169.70M
0%
169.70M
0%
1.17B
-
1.17B
0%
1.17B
0%
1.17B
0%
198.60M
-
244.90M
-
311.40M
-
334M
7.26%
290.40M
13.05%
347M
19.49%
345.20M
0.52%
480.60M
39.22%
cash at beginning of period
404.40M
-
404.40M
0%
404.40M
0%
404.40M
0%
231.35M
42.79%
231.35M
0%
231.35M
0%
472.00M
-
472.00M
0%
472.00M
0%
785.20M
-
785.20M
0%
785.20M
0%
764.50M
-
764.50M
0%
764.50M
0%
934.20M
-
934.20M
0%
934.20M
0%
934.20M
0%
60.62B
-
60.93B
0.51%
25.48B
58.19%
25.77B
1.14%
108.65B
321.65%
108.99B
0.32%
cash at end of period
679.01M
-
679.01M
0%
679.01M
0%
679.01M
0%
472.00M
30.49%
472.00M
0%
472.00M
0%
785.20M
-
785.20M
0%
785.20M
0%
762.88M
-
762.88M
0%
762.88M
0%
934.20M
-
934.20M
0%
934.20M
0%
2.11B
-
2.11B
0%
2.11B
0%
2.11B
0%
198.60M
-
244.90M
-
60.93B
-
61.26B
0.55%
25.77B
57.94%
26.11B
1.35%
108.99B
317.37%
109.47B
0.44%
operating cash flow
-789.43M
-
-789.43M
0%
-789.43M
0%
-789.43M
0%
-2.90B
267.66%
-2.90B
0%
-2.90B
0%
-4.91B
-
-4.91B
0%
-4.91B
0%
279.50M
-
279.50M
0%
279.50M
0%
515.42M
-
515.42M
0%
515.42M
0%
2.38B
-
2.38B
0%
2.38B
0%
2.38B
0%
198.60M
-
244.90M
-
311.40M
-
334M
7.26%
290.40M
13.05%
347M
19.49%
345.20M
0.52%
480.60M
39.22%
capital expenditure
-65.97M
-
-65.97M
0%
-65.97M
0%
-65.97M
0%
-64.38M
-
-64.38M
0%
-64.38M
0%
-102.05M
-
-102.05M
0%
-102.05M
0%
-66.47M
-
-66.47M
0%
-66.47M
0%
-174.80M
-
-174.80M
0%
-174.80M
0%
-174.80M
0%
free cash flow
-855.40M
-
-855.40M
0%
-855.40M
0%
-855.40M
0%
-2.90B
239.31%
-2.90B
0%
-2.90B
0%
-4.97B
-
-4.97B
0%
-4.97B
0%
177.45M
-
177.45M
0%
177.45M
0%
448.95M
-
448.95M
0%
448.95M
0%
2.20B
-
2.20B
0%
2.20B
0%
2.20B
0%
198.60M
-
244.90M
-
311.40M
-
334M
7.26%
290.40M
13.05%
347M
19.49%
345.20M
0.52%
480.60M
39.22%

All numbers in INR (except ratios and percentages)