GMR Infrastructure Limited

NSE:GMRINFRA.NS

94.05 (INR) • At close September 18, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operating Activities:
Net Income -5,606.6-7,258.6-10,829.4-36,902-22,871.1-34,359.9-10,691.23,794.2-17,747.3-28,064.12,746.63,928.5-8,481.2-10,227.71,931.33,301.33,210.32,833.11,061.151,171.24
Depreciation & Amortization 14,659.210,424.49,736.510,045.410,642.59,851.310,490.815,434.523,600.319,813.415,165.111,129.69,358.18,609.26,122.43,898.31,785.11,345.62,199.711,911.65
Deferred Income Tax 00000000000000000000
Stock Based Compensation 00000000000000000000
Change In Working Capital 11,775.44,181.29,755-16,719.3-9,845.44,275.54,300.513,058.6-6,174.15,342.1651.35,349.3-2,826.117,724.2187.1-5,474.32,153.71,916.5-1,809.311,984.78
Accounts Receivables 0-7,017.4-16,879.1000000414.5260.2-1,569.100000000
Inventory -303.6-2,836.2-7,124.300000-1,616.6372.2-625.1-426.4-596.8-396.3159.6-938.5-76.254.6-52.345.16
Accounts Payables 12,0797,017.416,879.11,690.84,693.33,5684,731.924,153.612,858.600000000000
Other Working Capital -303.67,017.416,879.3-18,410.1-14,538.7707.5-431.5-10,613.9-4,557.54,969.91,276.45,775.7-2,229.318,120.527.5-4,535.82,229.91,861.9-1,756.971,979.62
Other Non Cash Items 4,342.715,645.323,899.243,610.235,832.540,755.619,37213,367.233,868.832,056.87,337.610,354.315,258.514,276.64,270.32,020-78.3647.6928.82922.3
Operating Cash Flow 7,931.322,992.332,561.334.313,758.520,522.523,472.145,654.533,547.729,148.225,900.630,761.713,309.330,382.312,511.13,745.37,070.86,742.82,380.375,989.97
Investing Activities:
Investments In Property Plant And Equipment -45,245.8-39,213.5-31,377.2-20,470.6-29,120.9-28,470.6-7,147.6-6,199.4-22,421.3-38,050.9-56,027-102,810.2-108,133.4-74,049.6-68,752.9-65,841.5-51,531.2-19,588.4-8,663.66-8,554.14
Acquisitions Net -7,054.52,362-5,494.945,346.237,797.9-31,706.6-1,083.322.2-7,150.514,631.23,542.629,084.4-24,835-964.9-1,859.500000
Purchases Of Investments -5,972.3-7,821.2-9,956.1-4,278.2-23,490.6-4,214.9-9,537-14,075.1-4,864.70002,417.4-7,295.3-31,7460-46,289.1-87-819.9-1,373.33
Sales Maturities Of Investments 3,00018,572.115,45148,513.323,490.621,204746.131,940.614,731.400024,053.415,291.21,762.233,868.20000
Other Investing Activites -6,909.21,877.112,410.7-44,776.9-18,5737,137.9-1,910.724,126.211,592-8,225.2-1,732.3-8,593.7-2,473.32,628.73.71,724.81,220.5273.1360.03202.91
Investing Cash Flow -62,181.8-24,223.5-18,966.524,333.8-9,896-36,050.2-10,141.617,926.8-17,979.8-31,644.9-54,216.7-82,319.5-108,970.9-64,389.9-100,592.5-30,248.5-96,599.8-19,402.3-9,123.53-9,724.56
Financing Activities:
Debt Repayment -30,010.1-43,713.4-44,666.6-54,745.1-41,448.2-15,944.8-44,727.7-70,217.6-60,868.3-92,778.7-68,366-81,302-52,668.8-43,288.4-6,563.300000
Common Stock Issued 10,342.224.30000004,934.124,876.51,998.3781.6152,938.615,906.9839.16,980.644,360.513,028.2303.480
Common Stock Repurchased 000000000-6,420.6-15,183.3-3,556.3-95-15000000-235.51
Dividends Paid 0000-776.2-971.4-1,925.3-5.6-187.8-601.5-558.4-71.9-48.2-86.8-5-3.3-0.5-23.3-73.17-75.39
Other Financing Activities -35,086.461,0025,72844,185.758,118.725,074.234,741.412,434.439,452.479,407.588,445143,251.41,105.378,225.986,822.435,246.241,113.55,897.58,757.633,744.02
Financing Cash Flow 39,832.817,312.9-38,938.6-10,559.416,167.18,158-11,911.6-57,788.8-16,669.64,483.26,335.659,102.8101,231.950,607.681,093.242,223.585,473.518,902.48,987.943,433.12
Other Information:
Effect Of Forex Changes On Cash -31.11216.1922.958.2-76.4-25.4234.671.289.34461,208.2-18.9-1,150.100000.02
Net Change In Cash -4,778.816,202.7-26,805.713,817.720,052.5-7,365.71,940.12,720.3-898.82,038.1-22,8885,976.110,779.316,905.9-7,83915,720.3-4,055.56,242.92,244.78-301.45
Cash At End Of Period 28,255.932,397.216,194.743,000.429,182.79,130.116,495.814,646.516,082.416,981.214,943.137,831.131,85533,732.116,826.224,665.28,944.913,000.46,754.214,509.43