NSE:SBIN
State Bank of India
- Stock
Last Close
788.65
02/05 08:51
Market Cap
7.65T
Beta: 0.67
Volume Today
13.92M
Avg: 17.61M
PE Ratio
8.41
PFCF: -
Dividend Yield
1.76%
Payout:0%
Preview
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Mar '15 | Mar '16 | Mar '17 | Mar '18 | Mar '19 | Mar '20 | Mar '21 | Mar '22 | Mar '23 | Mar '24 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|
net income | 253.31B - | 176.58B 30.29% | 15.77B 91.07% | -126.14B 899.99% | 44.51B 135.29% | 319.08B 616.85% | 309.22B 3.09% | 487.56B 57.68% | 744.88B 52.78% | 670.85B 9.94% | |
depreciation and amortization | 15.81B - | 22.52B 42.41% | 29.15B 29.41% | 31.05B 6.53% | 34.96B 12.59% | 36.62B 4.74% | 37.11B 1.35% | 36.91B 0.53% | 36.96B 0.12% | 38.49B 4.15% | |
deferred income tax | |||||||||||
stock based compensation | |||||||||||
change in working capital | -2.29B - | -419.33B 18,201.10% | 95.46B 122.76% | -1.55T 1,725.00% | -306.34B 80.25% | -379.55B 23.90% | 80.04B 121.09% | -176.15B 320.07% | -1.75T 895.50% | 562.63B 132.08% | |
accounts receivables | |||||||||||
inventory | |||||||||||
accounts payables | |||||||||||
other working capital | -5.50T - | ||||||||||
other non cash items | 197.19B - | 361.00B 83.07% | 633.69B 75.54% | 681.23B 7.50% | 522.43B 23.31% | 263.14B 49.63% | 472.82B 79.68% | 228.62B 51.65% | 111.62B 51.18% | 20.36B 81.76% | |
net cash provided by operating activities | 464.03B - | 140.77B 69.66% | 774.06B 449.89% | -965.08B 224.68% | 295.56B 130.63% | 239.29B 19.04% | 899.19B 275.78% | 576.95B 35.84% | -860.14B 249.08% | 1.22T 241.30% | |
investments in property plant and equipment | -34.52B - | -37.76B 9.37% | -44.24B 17.17% | -7.91B 82.13% | -30.06B 280.13% | -30.65B 1.98% | -38.28B 24.89% | -33.05B 13.66% | -46.71B 41.32% | -41.75B 10.62% | |
acquisitions net | 13.73M - | 995.33M 7,150.89% | 15.86B 1,493.37% | 52.39B 230.35% | 4.03B 92.31% | -4.57B 213.52% | 886.04M 119.37% | -5.71B 744.20% | 6.27B 209.92% | -821.60M 113.10% | |
purchases of investments | -635.30M - | -1.07T 167,853.16% | -3.70T 246.79% | -1.84T 50.14% | -1.42T 23.25% | -1.91T 34.56% | |||||
sales maturities of investments | 652.62B - | 74.80B 88.54% | 30.06B 59.82% | 15.93B 46.98% | 16.41B 2.97% | 29.14B 77.57% | |||||
other investing activites | 205.16M - | 75.23M 63.33% | 56.59M 24.79% | 66.17B 116,842.09% | -634.52B 1,058.89% | 994.20B 256.68% | 3.67T 269.17% | 1.83T 50.10% | 1.40T 23.58% | -765.90M 100.05% | |
net cash used for investing activites | -34.30B - | -36.69B 6.94% | -28.32B 22.80% | 110.66B 490.72% | -8.57B 107.74% | -33.24B 287.93% | -37.36B 12.41% | -36.19B 3.15% | -40.41B 11.67% | -7.20T 17,727.73% | |
debt repayment | -446.68B - | -808.47B 80.99% | -1.01T 24.89% | -105.18B 89.58% | -21.25B 79.80% | -1.18T 5,474.49% | |||||
common stock issued | 53.84B - | 56.75B 5.39% | 237.82B 319.09% | 84.96B - | 100K - | ||||||
common stock repurchased | -87.42M - | 132.08B - | |||||||||
dividends paid | -12.36B - | -30.59B 147.40% | -23.37B 23.58% | -24.16B 3.37% | -35.70B - | -63.37B 77.51% | -100.85B 59.15% | ||||
other financing activites | -3.17B - | 20.23B 738.17% | -75.34B 472.48% | -158.19B 109.97% | 451.25B 385.26% | 777.81B 72.37% | 1.08T 39.00% | 102.44B 90.53% | 16.40B 83.99% | -124.10M 100.76% | |
net cash used provided by financing activities | -15.53B - | 43.48B 379.95% | -41.96B 196.51% | 55.47B 232.19% | 4.48B 91.93% | 54.30B 1,112.93% | 71.43B 31.55% | -38.45B 153.82% | 63.86B 266.12% | 6.06T 9,394.62% | |
effect of forex changes on cash | 60.09M - | 9.22B 15,239.78% | -17.40B 288.72% | 13.05B 175.02% | 10.76B 17.54% | 27.69B 157.24% | 663.99M 97.60% | 9.66B 1,355.24% | 30.75B 218.24% | 7.76B 74.77% | |
net change in cash | 414.25B - | 156.78B 62.15% | 686.38B 337.78% | -779.08B 213.51% | 302.23B 138.79% | 288.03B 4.70% | 933.92B 224.24% | 511.98B 45.18% | -805.93B 257.41% | 82.60B 110.25% | |
cash at beginning of period | 1.67T - | 1.88T 12.75% | 2.05T 8.53% | 2.73T 33.55% | 1.95T 28.52% | 2.26T 15.48% | 2.54T 12.77% | 3.48T 36.72% | 3.99T 14.72% | 3.18T 20.20% | |
cash at end of period | 2.09T - | 2.04T 2.12% | 2.73T 33.82% | 1.95T 28.52% | 2.26T 15.48% | 2.54T 12.77% | 3.48T 36.72% | 3.99T 14.72% | 3.18T 20.20% | 3.27T 2.60% | |
operating cash flow | 464.03B - | 140.77B 69.66% | 774.06B 449.89% | -965.08B 224.68% | 295.56B 130.63% | 239.29B 19.04% | 899.19B 275.78% | 576.95B 35.84% | -860.14B 249.08% | 1.22T 241.30% | |
capital expenditure | -34.52B - | -37.76B 9.37% | -44.24B 17.17% | -7.91B 82.13% | -30.06B 280.13% | -30.65B 1.98% | -38.28B 24.89% | -33.05B 13.66% | -46.71B 41.32% | -41.75B 10.62% | |
free cash flow | 429.51B - | 103.01B 76.02% | 729.82B 608.49% | -972.99B 233.32% | 265.50B 127.29% | 208.64B 21.42% | 860.91B 312.64% | 543.90B 36.82% | -906.85B 266.73% | 1.17T 229.42% |
All numbers in INR (except ratios and percentages)