Bajaj Hindusthan Sugar Limited

NSE:BAJAJHIND.NS

37.72 (INR) • At close September 19, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) INR.

2023202220212020201920182017201620152014201320122011201020092008200720052004
Operating Activities:
Net Income -864.1-1,381.6-2,715.2-2,937.1-523.6-1,339.4-5,045.3-977.2-2,067.7-11,924.5-10,831.205-3,964214.5-1,629.31,051.49-2,931.63-294.621,403.89610.19
Depreciation & Amortization 2,224.72,1322,146.62,157.12,164.12,042.31,974.52,431.82,417.1-3713,704.9353,615.23,234.43,440.33,456.562,798.671,610.87350.95190.87
Deferred Income Tax 0000000000000001,136.29-2.3800
Stock Based Compensation 000000000-135.4-11.7330000-8.78223.2100
Change In Working Capital 3,037.15,248.64,346.21,616.44,4867,966.36,162-1,549.8-4,106.2-475.9-14,702.007-11,005.210,209-12,334.2-4,350.37-4,720.82-5,074-728.51-62.01
Accounts Receivables -166.1-232.8-109-600.7181.1262.6-438.21,583.4-965.4-485.3-600.26700000000
Inventory -1,078.21,378.5-2,042.21,700.5535.98291,616.4-10,8542,551.74,942.1-14,101.74-743.714,602-15,955.3-1,640.72-3,585.42-2,904.5218.62496.71
Accounts Payables 4,281.44,102.96,497.4516.63,7696,874.74,983.87,720.8-5,678.20000000000
Other Working Capital 0061.90004,545.69,304.2-6,657.9-5,4180-10,261.5-4,3933,621.1-2,709.65-1,135.4-2,169.5-947.13-558.72
Other Non Cash Items 1,918.21,924.12,413.52,561.82,976.32,507.96,441.17,094.17,556.39,121.128,929.2815,768.85,101.22,930.31,578.212,069.35913.1427.66308.89
Operating Cash Flow 4,903.67,923.16,191.13,398.29,102.811,177.19,532.36,998.93,799.5-3,650.37,089.27-5,585.218,759.1-7,592.91,735.89-1,656.92-2,623.821,453.991,047.94
Investing Activities:
Investments In Property Plant And Equipment -84.5-62.6-86-25.4-289-167.4-344.7-254.2-129.1-155.2-24,967.879-21,436.7-38,258.2-10,118-1,660-3,051.13-17,014.04-6,917.1-2,533.67
Acquisitions Net 0.82.122.595.72.181.316.69.6-1.90-592-60.91,169.68650-165.29000
Purchases Of Investments 00000000-1.900-3,720-3,087.2-45,712.9-0.5842.210-500
Sales Maturities Of Investments 0.500000000003,321.93,087.145,878.4083.182.8401.07
Other Investing Activites 62.7183.819544.37348.957.4119103.5-1,635.9-872.534-4,005.1-1,249-619.3412.29-637.26526.5521.786.84
Investing Cash Flow -20.5123.3131.5114.6-213.9-37.2-287.3-135.2-27.5-1,791.1-26,432.413-25,900.8-38,337.7-9,706.8-1,248.21-2,928.29-16,484.65-6,945.32-2,525.76
Financing Activities:
Debt Repayment -4,569.4-5,443.6-4,707.9-2,264.8-5,477-6,237.1-4,836.5-3,954.9-3,315.6-4,313.40-16,091.700-4,276.650000
Common Stock Issued 000000000000007,231.850906.14,772.110
Common Stock Repurchased 0000000000000000000
Dividends Paid 000-0.6-1.3-1.7-1.3-1.1-0.6-1-47-281.8-184.8-155.8-98.41-98.48-96.9-39.18-29.37
Other Financing Activities -1,519.6-2,888.4-1,835.2-1,549.7-2,909.4-4,745-4,344.2-3,111.6-544.29,074.818,322.60945,879.621,913.621,440.5-3,812.043,700.1318,661.99777.291,423.32
Financing Cash Flow -4,595.1-8,332-6,543.1-3,815.1-8,387.7-10,983.8-9,182-7,067.6-3,860.44,760.418,275.60929,506.121,728.821,284.7-955.33,651.6519,471.195,510.221,393.95
Other Information:
Effect Of Forex Changes On Cash 00000000000-146.40000000
Net Change In Cash 290.4-285.6-220.5-302.3501.2156.163-203.9-88.4-681-1,067.534-2,126.32,150.23,985-467.62-933.56362.7218.89-83.87
Cash At End Of Period 522.1231.7517.3737.81,040.1538.9382.8319.8523.7612.1-1,067.5345,095.97,407.95,257.71,272.731,740.352,673.9158.4339.54