Gulf Oil Lubricants India Limited

NSE:GULFOILLUB.NS

1257.1 (INR) • At close July 1, 2025
Overview | Financials

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

202520242023202220212020201920182017201620152014
Operating Activities:
Net Income 3,598.5123,079.6113,127.082,843.1812,687.4052,645.4032,750.7222,428.5611,849.2641,532.6261,160.388-0.057
Depreciation & Amortization 557.695507.431396.129357.193338.693327.044223.648104.33172.50460.41548.2120
Deferred Income Tax 00-921.04-762.193-554.594-862.965-997.42-716.203-673.817-490.25200
Stock Based Compensation 039.00854.89838.31558.00559.28137.05958.14629.00228.79900
Change In Working Capital -114.66140.762147.648-2,376.742-231.058281.28-1,719.731-626.578249.77121.117340.107185.991
Accounts Receivables -4.276-865.6-784.39-1,165.879-32.208-354.997-190.76-261.78967.32172.664133.1680
Inventory -137.271-114.9446.016-997.86-482.475105.247-1,019.902-868.769.592-153.02447.2530
Accounts Payables 0886.044920.357-430.392232.91611.376-259.547896.93435.614344.62300
Other Working Capital 26.887235.258-34.335217.38950.715-80.346-249.522242.122180.179174.141292.854186.003
Other Non Cash Items -89.024-352.606-71.486-337.01-363.444-81.679-123.898-147.422-86.40625.591-234.583-0.004
Operating Cash Flow 3,952.5233,414.2062,733.229-237.2561,935.0072,368.364170.381,100.8351,440.3181,178.2961,314.124185.93
Investing Activities:
Investments In Property Plant And Equipment -533.661-276.835-231.832-246.059-85.97-183.376-493.099-1,078.702-416.393-184.65-354.552-186
Acquisitions Net 130.874-405.399197.942353.142514.2750.8550.6575.0970.8361.50800
Purchases Of Investments -8,615-8,672.43-2,669.589-3,211.683-153.088-8.532-7.1440-0.19-5.089-26.3690
Sales Maturities Of Investments 8,952.0358,196.1922,789.9772,858.5418.6587.6776.487315.392117.069000
Other Investing Activites 1,307.1239.239217.76872.99611.293357.475274.54570.164210.361157.02594.7770
Investing Cash Flow 773.462-1,149.233304.266-173.063295.168174.099-218.559-508.538-206.222-32.714-286.144-186
Financing Activities:
Debt Repayment -174.3196.69-259.511-107.367-1,522.254-104.7140681.547-70.805-226.539449.6910
Common Stock Issued 053.4462.24240.19871.312105.27634.6722.22320.794000
Common Stock Repurchased 00-850000000000
Dividends Paid -1,961.335-2,014.042-247.88-449.685-1,043.318-420.939-652.994-533.345-443.715-384.774-98.0410
Other Financing Activities 637.991-425.857-666.0521,538.591-278.087469.073323.465-81.207-97.17-176.167-138.3590
Financing Cash Flow -1,497.663-2,379.763-2,021.201981.539-2,772.34748.696-294.85989.218-586.515-787.48196.4420
Other Information:
Effect Of Forex Changes On Cash 0000000000298.0570
Net Change In Cash 3,228.322528.6691,016.294571.22-542.1722,591.159-343.038681.515647.581358.1021,522.479-0.07
Cash At End Of Period 10,260.5917,032.2696,503.65,487.3064,916.0865,458.2582,867.0993,210.1372,528.6221,881.0411,522.9390.46