av/power-finance--big.svg

NSE:PFC

Power Finance Corporation Limited

  • Stock

INR

Last Close

418.05

10/05 10:00

Market Cap

1.47T

Beta: 0.52

Volume Today

14.52M

Avg: 7.88M

PE Ratio

8.42

PFCF: -

Dividend Yield

2.73%

Payout:0%

Jun '13
Sep '13
Jan '14
Mar '14
Jun '14
Sep '14
Jan '15
Mar '15
Jun '15
Sep '15
Jan '16
Mar '16
Jun '16
Jan '17
Mar '17
Jun '17
Jan '18
Mar '18
Jun '18
Sep '18
Jan '19
Mar '19
Jun '19
Sep '19
Dec '19
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
net income
14.98B
-
14.98B
0%
19.06B
27.21%
19.06B
0%
19.06B
0%
19.06B
0%
21.11B
10.77%
21.11B
0%
21.11B
0%
21.11B
0%
22.92B
8.54%
22.92B
0%
22.92B
0%
13.16B
42.58%
13.16B
0%
13.16B
0%
20.90B
58.81%
20.90B
0%
21.67B
3.68%
16.88B
22.10%
44.66B
164.53%
27.98B
37.34%
21.85B
21.91%
18.71B
14.38%
48.34B
158.42%
15.76B
67.40%
26.83B
70.27%
32.49B
21.09%
49.70B
52.98%
50.05B
0.71%
34.80B
30.47%
37.48B
7.69%
35.80B
4.48%
32.06B
10.46%
34.17B
6.59%
39.35B
15.16%
38.60B
1.91%
46.77B
21.15%
45.76B
2.15%
48.33B
5.61%
79.61B
64.73%
depreciation and amortization
14.90M
-
14.90M
0%
13.07M
12.25%
13.07M
0%
13.07M
0%
13.07M
0%
19.82M
51.63%
19.82M
0%
19.82M
0%
19.82M
0%
50.20M
153.22%
50.20M
0%
50.20M
0%
102.60M
104.38%
102.60M
0%
102.60M
0%
175.95M
71.49%
175.95M
0%
175.95M
0%
38.73M
-
38.73M
0%
38.73M
0%
61.20M
-
76M
24.18%
61.08M
19.64%
61.08M
0%
65.80M
7.74%
74.10M
12.61%
119.10M
-
141.20M
18.56%
142.40M
0.85%
120.60M
15.31%
126.80M
5.14%
137.90M
8.75%
deferred income tax
stock based compensation
change in working capital
-74.63B
-
-74.63B
0%
-72.93B
2.28%
-72.93B
0%
-72.93B
0%
-72.93B
0%
-71.60B
1.83%
-71.60B
0%
-71.60B
0%
-71.60B
0%
-53.78B
24.89%
-53.78B
0%
-53.78B
0%
-13.77B
74.39%
-13.77B
0%
-13.77B
0%
-85.14B
518.19%
-85.14B
0%
-85.14B
0%
-233.26B
-
-233.26B
0%
-233.26B
0%
-171.06B
-
-276.97B
61.92%
-150.78B
45.56%
-150.78B
0%
-54.20B
64.05%
-233.25B
330.35%
-310.08B
-
-515.06B
66.11%
-271.79B
-
accounts receivables
inventory
accounts payables
other working capital
-271.79B
-
other non cash items
-3.19B
-
-3.19B
0%
-2.33B
27.11%
-2.33B
0%
-2.33B
0%
-2.33B
0%
-3.14B
34.98%
-3.14B
0%
-3.14B
0%
-3.14B
0%
-2.44B
22.52%
-2.44B
0%
-2.44B
0%
4.60B
288.95%
4.60B
0%
4.60B
0%
-4.17B
190.72%
-4.17B
0%
-4.94B
18.45%
-16.88B
241.44%
-12.07B
28.50%
4.61B
138.16%
10.74B
133.08%
-18.71B
274.26%
-4.47B
76.12%
34.69B
876.72%
17.17B
50.52%
11.51B
32.96%
2.58B
77.57%
3.89B
50.56%
-34.80B
995.59%
-37.48B
7.69%
-35.80B
4.48%
-32.06B
10.46%
-34.17B
6.59%
-39.23B
14.81%
42.09B
207.29%
9.98B
76.30%
-45.64B
557.55%
-48.20B
5.61%
-17.57B
63.56%
net cash provided by operating activities
-62.82B
-
-62.82B
0%
-56.18B
10.57%
-56.18B
0%
-56.18B
0%
-56.18B
0%
-53.60B
4.59%
-53.60B
0%
-53.60B
0%
-53.60B
0%
-33.24B
37.98%
-33.24B
0%
-33.24B
0%
4.09B
112.30%
4.09B
0%
4.09B
0%
-68.24B
1,768.32%
-68.24B
0%
-68.24B
0%
-200.63B
-
-200.63B
0%
-200.63B
0%
-127.12B
-
-226.44B
78.14%
-106.72B
52.87%
-106.72B
0%
-1.85B
98.27%
-179.23B
9,594.01%
238.20M
-
-229.24B
96,338.29%
-458.17B
99.87%
241.20M
100.05%
253.60M
5.14%
-209.60B
82,750%
investments in property plant and equipment
-10.95M
-
-10.95M
0%
-7.03M
35.84%
-7.03M
0%
-7.03M
0%
-7.03M
0%
-106.25M
1,412.46%
-106.25M
0%
-106.25M
0%
-106.25M
0%
-389.23M
266.33%
-389.23M
0%
-389.23M
0%
-453.43M
16.49%
-453.43M
0%
-453.43M
0%
-1.09B
140.52%
-1.09B
0%
-1.09B
0%
-248.65M
-
-248.65M
0%
-248.65M
0%
9.20M
-
-588.30M
6,494.57%
-326.30M
44.54%
-326.30M
0%
-503.20M
54.21%
74M
114.71%
-148.50M
-
-767.80M
417.04%
-657.60M
-
acquisitions net
16.60M
-
purchases of investments
-8.78M
-
-8.78M
0%
-8.78M
0%
-8.78M
0%
-1.24B
14,005.70%
-1.24B
0%
-1.24B
0%
-1.24B
0%
-13.74B
-
sales maturities of investments
14.63M
-
14.63M
0%
13.72B
-
other investing activites
-3.67M
-
-3.67M
0%
15.80M
529.93%
15.80M
0%
15.80M
0%
15.80M
0%
1.34B
8,406.49%
1.34B
0%
1.34B
0%
1.34B
0%
389.23M
71.04%
389.23M
0%
389.23M
0%
453.43M
16.49%
453.43M
0%
453.43M
0%
1.09B
140.52%
1.09B
0%
1.09B
0%
248.65M
-
248.65M
0%
248.65M
0%
-1.09B
-
6.48B
696.60%
326.30M
94.97%
326.30M
0%
-4.49B
1,477.47%
20.21B
549.69%
-7.97B
-
-2.49B
68.82%
-13.72B
-
net cash used for investing activites
3.65M
-
3.65M
0%
-15.80M
532.88%
-15.80M
0%
-15.80M
0%
-15.80M
0%
-1.34B
8,406.49%
-1.34B
0%
-1.34B
0%
-1.34B
0%
-397.05M
70.46%
-397.05M
0%
-397.05M
0%
-453.85M
14.31%
-453.85M
0%
-453.85M
0%
-1.09B
141.08%
-1.09B
0%
-1.09B
0%
-248.68M
-
-248.68M
0%
-248.68M
0%
-1.08B
-
5.90B
647.10%
-326.30M
105.53%
-326.30M
0%
-5.00B
1,431.69%
20.29B
505.90%
-8.12B
-
-3.25B
59.93%
-14.38B
-
debt repayment
-27.48B
-
-27.48B
0%
-41.08B
49.46%
-41.08B
0%
-41.08B
0%
-41.08B
0%
-19.66B
52.14%
-19.66B
0%
-19.66B
0%
-19.66B
0%
-8.59B
56.32%
-8.59B
0%
-8.59B
0%
-28.36B
230.29%
-28.36B
0%
-28.36B
0%
-261.57B
-
common stock issued
4M
-
4M
0%
1.10M
72.50%
1.10M
0%
1.10M
0%
1.10M
0%
53.98M
-
53.98M
0%
53.98M
0%
78.47M
45.39%
78.47M
0%
78.47M
0%
-3.80M
-
common stock repurchased
-261.57B
-
dividends paid
-2.68B
-
-2.68B
0%
-3.78B
40.93%
-3.78B
0%
-3.78B
0%
-3.78B
0%
-3.44B
9.02%
-3.44B
0%
-3.44B
0%
-3.44B
0%
-4.59B
33.22%
-4.59B
0%
-4.59B
0%
-198.72M
95.67%
-198.72M
0%
-198.72M
0%
-6.26B
3,050.21%
-6.26B
0%
-6.26B
0%
-6.28B
-
-6.28B
0%
-6.28B
0%
-800K
-
-35.35B
4,418,137.50%
-8.84B
75.00%
-8.84B
0%
-5.61B
36.51%
-25.81B
360.07%
-23.64B
-
-13.29B
43.76%
-19.45B
-
other financing activites
30.17B
-
30.17B
0%
44.86B
48.71%
44.86B
0%
44.86B
0%
44.86B
0%
23.10B
48.50%
23.10B
0%
23.10B
0%
23.10B
0%
13.12B
43.21%
13.12B
0%
13.12B
0%
28.48B
117.10%
28.48B
0%
28.48B
0%
6.26B
78.02%
6.26B
0%
6.26B
0%
6.28B
-
6.28B
0%
6.28B
0%
117.01B
-
251.79B
115.19%
8.84B
96.49%
8.84B
0%
86.48B
878.74%
137.51B
59.01%
288.80B
-
423.09B
46.50%
784.71B
-
net cash used provided by financing activities
-30.17B
-
-30.17B
0%
-44.86B
48.71%
-44.86B
0%
-44.86B
0%
-44.86B
0%
-23.10B
48.50%
-23.10B
0%
-23.10B
0%
-23.10B
0%
-14.05B
39.18%
-14.05B
0%
-14.05B
0%
-29.03B
106.58%
-29.03B
0%
-29.03B
0%
-7.48B
74.24%
-7.48B
0%
-7.48B
0%
-7.65B
-
-7.65B
0%
-7.65B
0%
117.01B
-
216.45B
84.98%
-10.65B
104.92%
-10.65B
0%
80.87B
859.24%
111.70B
38.13%
265.17B
-
409.80B
54.54%
242.11B
-
effect of forex changes on cash
409.40M
-
409.40M
0%
1.04B
152.85%
1.04B
0%
1.04B
0%
1.04B
0%
556.60M
46.23%
556.60M
0%
556.60M
0%
556.60M
0%
765.40M
37.51%
765.40M
0%
765.40M
0%
553.70M
27.66%
553.70M
0%
553.70M
0%
613.63M
10.82%
613.63M
0%
613.63M
0%
2.69B
-
2.69B
0%
2.69B
0%
13.13B
-
13.13B
0%
-51.36B
-
5.85B
111.38%
12.73B
-
net change in cash
7.10B
-
7.10B
0%
-11.98B
268.75%
-11.98B
0%
-11.98B
0%
-11.98B
0%
12.43B
203.70%
12.43B
0%
12.43B
0%
12.43B
0%
-12.22B
198.33%
-12.22B
0%
-12.22B
0%
7.71B
163.13%
7.71B
0%
7.71B
0%
-6.34B
182.12%
-6.34B
0%
-6.34B
0%
-250.03M
-
-250.03M
0%
-250.03M
0%
-11.17B
-
-4.10B
63.26%
2.95B
171.80%
2.95B
0%
74.02B
2,412.33%
-47.24B
163.82%
238.20M
-
-23.55B
9,987.24%
-45.78B
94.40%
241.20M
100.53%
253.60M
5.14%
30.87B
12,071.57%
cash at beginning of period
5.04B
-
5.04B
0%
12.14B
140.77%
12.14B
0%
12.14B
0%
12.14B
0%
157.20M
98.71%
157.20M
0%
157.20M
0%
157.20M
0%
12.58B
7,904.45%
12.58B
0%
12.58B
0%
364.13M
97.11%
364.13M
0%
364.13M
0%
8.06B
2,113.76%
8.06B
0%
8.06B
0%
2.06B
-
2.06B
0%
2.06B
0%
34.33B
-
23.16B
32.54%
1.82B
92.15%
1.82B
0%
22.50B
1,138.31%
96.52B
329.07%
49.28B
48.95%
75.34B
-
75.58B
0.32%
52.03B
31.16%
6.25B
87.99%
65.65B
950.95%
62.86B
4.25%
cash at end of period
12.14B
-
12.14B
0%
157.07M
98.71%
157.07M
0%
157.07M
0%
157.07M
0%
12.58B
7,910.82%
12.58B
0%
12.58B
0%
12.58B
0%
364.13M
97.11%
364.13M
0%
364.13M
0%
8.08B
2,118.56%
8.08B
0%
8.08B
0%
1.73B
78.64%
1.73B
0%
1.73B
0%
1.81B
-
1.81B
0%
1.81B
0%
23.16B
-
19.05B
17.72%
4.76B
75%
4.76B
0%
96.52B
1,926.42%
49.28B
48.95%
49.28B
0%
75.58B
-
52.03B
31.16%
6.25B
87.99%
6.49B
3.86%
65.90B
915.79%
93.73B
42.22%
operating cash flow
-62.82B
-
-62.82B
0%
-56.18B
10.57%
-56.18B
0%
-56.18B
0%
-56.18B
0%
-53.60B
4.59%
-53.60B
0%
-53.60B
0%
-53.60B
0%
-33.24B
37.98%
-33.24B
0%
-33.24B
0%
4.09B
112.30%
4.09B
0%
4.09B
0%
-68.24B
1,768.32%
-68.24B
0%
-68.24B
0%
-200.63B
-
-200.63B
0%
-200.63B
0%
-127.12B
-
-226.44B
78.14%
-106.72B
52.87%
-106.72B
0%
-1.85B
98.27%
-179.23B
9,594.01%
238.20M
-
-229.24B
96,338.29%
-458.17B
99.87%
241.20M
100.05%
253.60M
5.14%
-209.60B
82,750%
capital expenditure
-10.95M
-
-10.95M
0%
-7.03M
35.84%
-7.03M
0%
-7.03M
0%
-7.03M
0%
-106.25M
1,412.46%
-106.25M
0%
-106.25M
0%
-106.25M
0%
-389.23M
266.33%
-389.23M
0%
-389.23M
0%
-453.43M
16.49%
-453.43M
0%
-453.43M
0%
-1.09B
140.52%
-1.09B
0%
-1.09B
0%
-248.65M
-
-248.65M
0%
-248.65M
0%
9.20M
-
-588.30M
6,494.57%
-326.30M
44.54%
-326.30M
0%
-503.20M
54.21%
74M
114.71%
-148.50M
-
-767.80M
417.04%
-657.60M
-
free cash flow
-62.83B
-
-62.83B
0%
-56.19B
10.57%
-56.19B
0%
-56.19B
0%
-56.19B
0%
-53.71B
4.41%
-53.71B
0%
-53.71B
0%
-53.71B
0%
-33.63B
37.38%
-33.63B
0%
-33.63B
0%
3.64B
110.81%
3.64B
0%
3.64B
0%
-69.33B
2,006.30%
-69.33B
0%
-69.33B
0%
-200.88B
-
-200.88B
0%
-200.88B
0%
-127.11B
-
-227.03B
78.61%
-107.05B
52.85%
-107.05B
0%
-2.35B
97.80%
-179.16B
7,516.96%
238.20M
-
-229.39B
96,400.63%
-458.94B
100.07%
241.20M
100.05%
253.60M
5.14%
-210.26B
83,009.31%

All numbers in INR (except ratios and percentages)