av/seamec-ltd--big.svg

NSE:SEAMECLTD

Seamec Limited

  • Stock

INR

Last Close

1,097.80

03/05 09:59

Market Cap

29.91B

Beta: 0.63

Volume Today

8.38K

Avg: 47.52K

PE Ratio

638.54

PFCF: -

Dividend Yield

0.09%

Payout:0%

Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
net income
20.12M
-
1.28B
6,263.32%
88.05M
93.12%
-1.45B
1,743.76%
29.75M
102.06%
857.02M
2,780.74%
1.39B
61.83%
1.06B
23.40%
848.02M
20.18%
276.10M
67.44%
depreciation and amortization
498.46M
-
454.47M
8.83%
471.71M
3.79%
480.09M
1.78%
489.20M
1.90%
519.11M
6.11%
545.05M
5.00%
565.60M
3.77%
838.76M
48.30%
1.12B
33.51%
deferred income tax
stock based compensation
change in working capital
-88.08M
-
52.58M
159.70%
-256.61M
588.04%
322.63M
225.73%
-90.97M
128.20%
-313.22M
244.31%
593.89M
289.61%
-267.26M
145.00%
-507.32M
89.82%
-849.60M
67.47%
accounts receivables
-532.85M
-
90.06M
116.90%
730.34M
710.95%
-482.77M
166.10%
-1.02B
111.92%
inventory
25.72M
-
78.61M
205.64%
-42.92M
154.60%
29.61M
168.99%
23.74M
19.82%
-8.92M
137.57%
-23.15M
159.53%
-26.80M
15.77%
-73.98M
176.03%
-135.90M
83.71%
accounts payables
227.05M
-
527.32M
132.25%
-970.91M
284.12%
46.88M
104.83%
307.41M
555.68%
other working capital
-113.80M
-
-26.03M
77.13%
-213.69M
720.94%
293.02M
237.12%
-114.71M
139.15%
1.50M
101.31%
-340K
122.67%
110K
132.35%
2.54M
2,206.36%
1.96M
22.86%
other non cash items
-140.07M
-
-879.46M
527.87%
-198.09M
77.48%
770.09M
488.76%
-134.78M
117.50%
-94.46M
29.92%
-191.01M
102.21%
-297.67M
55.84%
-240.04M
19.36%
-13.50M
94.38%
net cash provided by operating activities
290.43M
-
907.89M
212.60%
105.06M
88.43%
125.48M
19.44%
293.20M
133.66%
968.45M
230.30%
2.33B
141.09%
1.06B
54.47%
939.42M
11.63%
532.80M
43.28%
investments in property plant and equipment
-217.48M
-
-559.89M
157.44%
-241.42M
56.88%
-784.70M
225.04%
-182.30M
76.77%
-1.19B
553.34%
-590M
50.46%
-1.02B
72.61%
-2.05B
101.77%
-2.92B
42.06%
acquisitions net
51.80M
-
71.85M
38.71%
108.50M
-
339.42M
212.83%
purchases of investments
-70M
-
-300M
328.57%
-792.10M
-
-1.82B
130.28%
-1.66B
8.81%
-778.10M
53.22%
-1.25B
60.42%
-824.60M
33.94%
sales maturities of investments
1.01B
-
615.41M
38.97%
722.59M
17.42%
1.19B
65.03%
257.05M
78.44%
515.56M
100.57%
1.85B
258.41%
3.15B
70.50%
other investing activites
366.45M
-
-1.09B
397.24%
228.54M
120.98%
143.35M
37.28%
47.34M
66.98%
78.80M
66.46%
-10K
100.01%
35.17M
351,800%
77.86M
121.38%
204.08M
162.12%
net cash used for investing activites
148.97M
-
-1.72B
1,254.02%
695.54M
140.46%
-25.94M
103.73%
-204.47M
688.24%
-1.69B
727.51%
-1.92B
13.74%
-1.25B
35.27%
-1.27B
1.86%
-49.70M
96.08%
debt repayment
-101.09M
-
-47.42M
-
-106.38M
124.34%
-149.59M
40.62%
-729.13M
387.42%
-362.40M
50.30%
common stock issued
common stock repurchased
-1.06B
-
dividends paid
-33.45M
-
-50.85M
-
other financing activites
-1.33M
-
125.02M
9,500%
145.28M
16.21%
-11.50M
107.92%
-114.47M
895.39%
532.24M
564.96%
163.98M
69.19%
-15.44M
109.42%
1.16B
7,599.49%
-55.30M
104.78%
net cash used provided by financing activities
-1.33M
-
125.02M
9,500%
-947.55M
857.92%
-112.59M
88.12%
-114.47M
1.67%
484.82M
523.53%
57.60M
88.12%
-215.88M
474.79%
428.79M
298.63%
-417.70M
197.41%
effect of forex changes on cash
12.12M
-
4M
67.00%
2.06M
48.50%
5.11M
148.06%
460K
91.00%
46.85M
10,084.78%
-17.45M
137.25%
72.73M
516.79%
31.73M
56.37%
4.70M
85.19%
net change in cash
450.19M
-
-682.24M
251.54%
-144.89M
78.76%
-7.94M
94.52%
-25.27M
218.26%
-191.89M
659.36%
450.53M
334.79%
-325.84M
172.32%
131.01M
140.21%
70M
46.57%
cash at beginning of period
424.69M
-
874.88M
106.00%
192.64M
77.98%
46.35M
75.94%
38.41M
17.13%
-60.03M
256.29%
-251.92M
319.66%
198.61M
178.84%
-127.23M
164.06%
3.80M
102.99%
cash at end of period
874.88M
-
192.64M
77.98%
47.75M
75.21%
38.41M
19.56%
13.14M
65.79%
-251.92M
2,017.20%
198.61M
178.84%
-127.23M
164.06%
3.77M
102.96%
73.80M
1,856.52%
operating cash flow
290.43M
-
907.89M
212.60%
105.06M
88.43%
125.48M
19.44%
293.20M
133.66%
968.45M
230.30%
2.33B
141.09%
1.06B
54.47%
939.42M
11.63%
532.80M
43.28%
capital expenditure
-217.48M
-
-559.89M
157.44%
-241.42M
56.88%
-784.70M
225.04%
-182.30M
76.77%
-1.19B
553.34%
-590M
50.46%
-1.02B
72.61%
-2.05B
101.77%
-2.92B
42.06%
free cash flow
72.95M
-
348M
377.04%
-136.36M
139.18%
-659.22M
383.44%
110.90M
116.82%
-222.58M
300.70%
1.74B
883.91%
44.68M
97.44%
-1.12B
2,596.45%
-2.39B
113.93%

All numbers in INR (except ratios and percentages)