av/uflex--big.svg

NSE:UFLEX

Uflex Limited

  • Stock

INR

Last Close

726.00

25/09 10:00

Market Cap

40.77B

Beta: 0.69

Volume Today

63.40K

Avg: 500.11K

PE Ratio

−7.49

PFCF: -

Dividend Yield

0.66%

Payout:0%

Preview

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Jan '14
Mar '14
Jun '14
Sep '14
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
net income
541.87M
-
600.97M
10.91%
640.30M
6.54%
651.10M
1.69%
715.88M
9.95%
685.47M
4.25%
761.80M
11.14%
777.40M
2.05%
946.83M
21.79%
781.60M
17.45%
861.60M
10.24%
903.50M
4.86%
986.28M
9.16%
981.90M
0.44%
930.50M
5.23%
942.90M
1.33%
884.77M
6.17%
711.30M
19.61%
940.90M
32.28%
956.90M
1.70%
1.02B
6.79%
700.76M
31.42%
906.80M
29.40%
939.90M
3.65%
1.20B
27.90%
1.01B
16.33%
1.96B
95.32%
2.22B
12.91%
1.60B
27.91%
2.65B
65.53%
2.64B
0.26%
1.71B
35.33%
3.13B
83.44%
3.50B
11.83%
3.74B
6.91%
1.91B
49.07%
-854.10M
144.78%
8.84M
101.03%
-4.16B
47,205.83%
633.10M
115.21%
-672.20M
206.18%
-2.71B
303.01%
depreciation and amortization
667.71M
-
667.71M
0%
667.71M
0%
667.71M
0%
698.49M
4.61%
698.49M
0%
698.49M
0%
698.49M
0%
713.84M
2.20%
713.84M
0%
713.84M
0%
793.85M
-
793.85M
0%
793.85M
0%
878.98M
-
878.98M
0%
878.98M
0%
952.13M
-
952.13M
0%
952.13M
0%
1.01B
-
1.01B
0%
1.01B
0%
1.01B
0%
1.46B
-
1.44B
1.40%
1.66B
15.69%
1.60B
3.32%
1.64B
1.93%
1.66B
1.67%
deferred income tax
stock based compensation
change in working capital
-742.98M
-
-742.98M
0%
-742.98M
0%
-742.98M
0%
-678.95M
8.62%
-678.95M
0%
-678.95M
0%
-678.95M
0%
362.30M
153.36%
362.30M
0%
362.30M
0%
218.37M
-
218.37M
0%
218.37M
0%
-473.16M
-
-473.16M
0%
-473.16M
0%
-950.31M
-
-950.31M
0%
-950.31M
0%
-433.18M
-
-433.18M
0%
-433.18M
0%
-433.18M
0%
accounts receivables
inventory
-351.34M
-
-351.34M
0%
-351.34M
0%
-351.34M
0%
-125.58M
64.26%
-125.58M
0%
-125.58M
0%
-125.58M
0%
100.36M
179.92%
100.36M
0%
100.36M
0%
-144.48M
-
-144.48M
0%
-144.48M
0%
-295.56M
-
-295.56M
0%
-295.56M
0%
-116.74M
-
-116.74M
0%
-116.74M
0%
-28.51M
-
-28.51M
0%
-28.51M
0%
-28.51M
0%
accounts payables
other working capital
-391.64M
-
-391.64M
0%
-391.64M
0%
-391.64M
0%
-553.38M
41.30%
-553.38M
0%
-553.38M
0%
-553.38M
0%
261.95M
147.34%
261.95M
0%
261.95M
0%
362.85M
-
362.85M
0%
362.85M
0%
-177.60M
-
-177.60M
0%
-177.60M
0%
-833.56M
-
-833.56M
0%
-833.56M
0%
-404.66M
-
-404.66M
0%
-404.66M
0%
-404.66M
0%
other non cash items
360.08M
-
300.99M
16.41%
261.66M
13.07%
250.86M
4.13%
523.51M
108.69%
553.92M
5.81%
477.59M
13.78%
461.99M
3.27%
223.60M
51.60%
388.83M
73.90%
308.83M
20.57%
-903.50M
392.56%
91.59M
110.14%
95.97M
4.78%
147.37M
53.56%
-942.90M
739.82%
350.39M
137.16%
523.86M
49.51%
294.25M
43.83%
-956.90M
425.19%
359.43M
137.56%
680.56M
89.34%
474.51M
30.28%
-939.90M
298.08%
268.34M
128.55%
464.70M
73.17%
-494.02M
206.31%
-747.72M
51.35%
-1.60B
113.88%
-2.65B
65.53%
-2.64B
0.26%
-1.71B
35.33%
-3.13B
83.44%
-3.50B
11.83%
-3.74B
6.91%
-451.80M
87.94%
2.29B
606.66%
1.65B
27.86%
5.77B
249.21%
1.00B
82.61%
2.34B
132.87%
2.71B
15.99%
net cash provided by operating activities
826.68M
-
826.68M
0%
826.68M
0%
826.68M
0%
1.26B
52.29%
1.26B
0%
1.26B
0%
1.26B
0%
2.25B
78.45%
2.25B
0%
2.25B
0%
2.09B
-
2.09B
0%
2.09B
0%
1.64B
-
1.64B
0%
1.64B
0%
1.38B
-
1.38B
0%
1.38B
0%
2.05B
-
2.05B
0%
2.05B
0%
2.05B
0%
2.91B
-
2.87B
1.40%
3.32B
15.69%
3.21B
3.32%
3.27B
1.93%
3.33B
1.67%
investments in property plant and equipment
-483.80M
-
-483.80M
0%
-483.80M
0%
-483.80M
0%
-559.41M
15.63%
-559.41M
0%
-559.41M
0%
-559.41M
0%
-1.26B
125.15%
-1.26B
0%
-1.26B
0%
-1.90B
-
-1.90B
0%
-1.90B
0%
-1.19B
-
-1.19B
0%
-1.19B
0%
-963.41M
-
-963.41M
0%
-963.41M
0%
-5.47B
-
-5.47B
0%
-5.47B
0%
-5.47B
0%
acquisitions net
purchases of investments
-5.68M
-
-5.68M
0%
-5.68M
0%
sales maturities of investments
other investing activites
483.80M
-
483.80M
0%
483.80M
0%
483.80M
0%
559.41M
15.63%
559.41M
0%
559.41M
0%
559.41M
0%
1.27B
126.17%
1.27B
0%
1.27B
0%
1.90B
-
1.90B
0%
1.90B
0%
1.19B
-
1.19B
0%
1.19B
0%
963.41M
-
963.41M
0%
963.41M
0%
5.47B
-
5.47B
0%
5.47B
0%
5.47B
0%
net cash used for investing activites
-483.80M
-
-483.80M
0%
-483.80M
0%
-483.80M
0%
-559.41M
15.63%
-559.41M
0%
-559.41M
0%
-559.41M
0%
-1.26B
125.03%
-1.26B
0%
-1.26B
0%
-1.87B
-
-1.87B
0%
-1.87B
0%
-1.21B
-
-1.21B
0%
-1.21B
0%
-951.28M
-
-951.28M
0%
-951.28M
0%
-5.44B
-
-5.44B
0%
-5.44B
0%
-5.44B
0%
debt repayment
common stock issued
common stock repurchased
dividends paid
-43.33M
-
-43.33M
0%
-43.33M
0%
-43.33M
0%
-45.13M
4.17%
-45.13M
0%
-45.13M
0%
-45.13M
0%
-48.74M
8.00%
-48.74M
0%
-48.74M
0%
-57.77M
-
-57.77M
0%
-57.77M
0%
-63.19M
-
-63.19M
0%
-63.19M
0%
-36.11M
-
-36.11M
0%
-36.11M
0%
-36.11M
-
-36.11M
0%
-36.11M
0%
-36.11M
0%
other financing activites
43.33M
-
43.33M
0%
43.33M
0%
43.33M
0%
45.13M
4.17%
45.13M
0%
45.13M
0%
45.13M
0%
48.74M
8.00%
48.74M
0%
48.74M
0%
57.77M
-
57.77M
0%
57.77M
0%
63.19M
-
63.19M
0%
63.19M
0%
36.11M
-
36.11M
0%
36.11M
0%
36.11M
-
36.11M
0%
36.11M
0%
36.11M
0%
net cash used provided by financing activities
-50.64M
-
-50.64M
0%
-50.64M
0%
-50.64M
0%
-52.80M
4.27%
-52.80M
0%
-52.80M
0%
-52.80M
0%
-58.67M
11.10%
-58.67M
0%
-58.67M
0%
-69.53M
-
-69.53M
0%
-69.53M
0%
-76.05M
-
-76.05M
0%
-76.05M
0%
-43.53M
-
-43.53M
0%
-43.53M
0%
-41.58M
-
-41.58M
0%
-41.58M
0%
-41.58M
0%
effect of forex changes on cash
-128.91M
-
-128.91M
0%
-128.91M
0%
-128.91M
0%
139.75M
208.41%
139.75M
0%
139.75M
0%
139.75M
0%
177.82M
27.24%
177.82M
0%
177.82M
0%
-166.88M
-
-166.88M
0%
-166.88M
0%
1.65M
-
1.65M
0%
1.65M
0%
-23.30M
-
-23.30M
0%
-23.30M
0%
-102.51M
-
-102.51M
0%
-102.51M
0%
-102.51M
0%
net change in cash
113.01M
-
113.01M
0%
113.01M
0%
113.01M
0%
-38.09M
133.71%
-38.09M
0%
-38.09M
0%
-38.09M
0%
492.85M
1,393.86%
492.85M
0%
492.85M
0%
-229.04M
-
-229.04M
0%
-229.04M
0%
48.01M
-
48.01M
0%
48.01M
0%
-68.43M
-
-68.43M
0%
-68.43M
0%
388.49M
-
388.49M
0%
388.49M
0%
388.49M
0%
2.91B
-
2.87B
1.40%
3.32B
15.69%
3.21B
3.32%
3.27B
1.93%
3.33B
1.67%
cash at beginning of period
405.55M
-
405.55M
0%
405.55M
0%
405.55M
0%
518.56M
27.87%
518.56M
0%
518.56M
0%
518.56M
0%
480.47M
7.35%
480.47M
0%
480.47M
0%
969.80M
-
969.80M
0%
969.80M
0%
740.76M
-
740.76M
0%
740.76M
0%
788.77M
-
788.77M
0%
788.77M
0%
720.34M
-
720.34M
0%
720.34M
0%
720.34M
0%
4.92B
-
7.83B
59.13%
7.21B
7.97%
10.53B
46.06%
11.32B
7.48%
14.59B
28.91%
cash at end of period
518.56M
-
518.56M
0%
518.56M
0%
518.56M
0%
480.47M
7.35%
480.47M
0%
480.47M
0%
480.47M
0%
973.32M
102.58%
973.32M
0%
973.32M
0%
740.76M
-
740.76M
0%
740.76M
0%
788.77M
-
788.77M
0%
788.77M
0%
720.34M
-
720.34M
0%
720.34M
0%
1.11B
-
1.11B
0%
1.11B
0%
1.11B
0%
7.83B
-
10.70B
36.64%
10.53B
1.63%
13.74B
30.49%
14.59B
6.18%
17.92B
22.80%
operating cash flow
826.68M
-
826.68M
0%
826.68M
0%
826.68M
0%
1.26B
52.29%
1.26B
0%
1.26B
0%
1.26B
0%
2.25B
78.45%
2.25B
0%
2.25B
0%
2.09B
-
2.09B
0%
2.09B
0%
1.64B
-
1.64B
0%
1.64B
0%
1.38B
-
1.38B
0%
1.38B
0%
2.05B
-
2.05B
0%
2.05B
0%
2.05B
0%
2.91B
-
2.87B
1.40%
3.32B
15.69%
3.21B
3.32%
3.27B
1.93%
3.33B
1.67%
capital expenditure
-483.80M
-
-483.80M
0%
-483.80M
0%
-483.80M
0%
-559.41M
15.63%
-559.41M
0%
-559.41M
0%
-559.41M
0%
-1.26B
125.15%
-1.26B
0%
-1.26B
0%
-1.90B
-
-1.90B
0%
-1.90B
0%
-1.19B
-
-1.19B
0%
-1.19B
0%
-963.41M
-
-963.41M
0%
-963.41M
0%
-5.47B
-
-5.47B
0%
-5.47B
0%
-5.47B
0%
free cash flow
342.88M
-
342.88M
0%
342.88M
0%
342.88M
0%
699.52M
104.01%
699.52M
0%
699.52M
0%
699.52M
0%
987.07M
41.11%
987.07M
0%
987.07M
0%
185.61M
-
185.61M
0%
185.61M
0%
447.34M
-
447.34M
0%
447.34M
0%
419.73M
-
419.73M
0%
419.73M
0%
-3.42B
-
-3.42B
0%
-3.42B
0%
-3.42B
0%
2.91B
-
2.87B
1.40%
3.32B
15.69%
3.21B
3.32%
3.27B
1.93%
3.33B
1.67%

All numbers in INR (except ratios and percentages)