HDFC Life Insurance Company Limited

NSE:HDFCLIFE.NS

715.05 (INR) • At close April 29, 2025
Overview | Financials

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

202320222021202020192018201720162015201420132012
Operating Activities:
Net Income 15,740.8213,682.77113,269.33113,608.7212,974.44712,779.25111,072.038,869.28,167.97,855.17,253.14,472.3
Depreciation & Amortization 787.517759.288562.738508.867467.532455.082447.091412.3452.3000
Deferred Income Tax 000000000000
Stock Based Compensation 822.797493.61226.406525.995483.919279.466144.712224.7060000
Change In Working Capital 137,136.424112,416.0190000000000
Accounts Receivables 000000000000
Inventory 000000000000
Accounts Payables 000000000000
Other Working Capital 137,136.424112,416.0190000000000
Other Non Cash Items -47,274.073-58,520.03345,366.93882,384.7959,950.70585,169.18355,728.99152,796.22948,254.336,739.846,9660
Operating Cash Flow 107,213.48568,831.65559,425.41397,028.37273,876.60398,682.98267,392.82462,302.43556,874.544,594.954,219.14,472.3
Investing Activities:
Investments In Property Plant And Equipment -1,359.517-875.73-566.361-612.112-385.826-451.311-338.771-479.1-342.5-1,080.3-406.5-661.7
Acquisitions Net 00-6,283.566-1,240.559-2,177.303-591.346000-774.70-452
Purchases Of Investments -1,273,579.163-1,121,964.918-1,038,234.893-940,483.014-1,067,260.223-581,103.327-606,292.47-1,420,090.8-458,313.2-412,967.8-336,038-254,251.3
Sales Maturities Of Investments 978,526.525891,171.075933,815.556769,465.601928,723.628424,060.258514,823.0251,332,210.2384,410.2351,054.4258,435.8189,171.6
Other Investing Activites 160,244.917130,795.809103,199.71983,407.32763,034.08356,267.94347,596.71736,607.62234,654.628,623.722,993.716,599.4
Investing Cash Flow -136,167.238-100,873.764-8,069.545-89,462.757-78,065.641-101,817.783-44,211.499-51,752.078-39,590.9-35,144.7-55,015-49,594
Financing Activities:
Debt Repayment 03,50006,00000000000
Common Stock Issued 737.03820,339.5662,103.055782.886327.707597.4621,324.961288.91536.7000
Common Stock Repurchased 000000000000
Dividends Paid -4,770.877-3,992.4-4,484.92300-3,964.202-3,288.426-2,644.762-2,161-1,675.6-1,166.90
Other Financing Activities 0-0.0250051.989-4.945000000
Financing Cash Flow -4,033.83919,847.141-2,381.8686,782.886379.696-3,371.685-1,963.465-2,355.847-2,124.3-1,675.6-1,166.90
Other Information:
Effect Of Forex Changes On Cash 30.459160.58161.077-53.952175.538-2.4432.39-20.6-29.3000
Net Change In Cash -32,957.133-12,034.38749,035.07714,294.549-3,636.592-6,508.92921,220.258,173.89615,1307,774.6-1,962.85,818
Cash At End Of Period 75,252.001108,208.8121,219.73372,184.65657,890.10761,526.69968,035.62846,815.338,641.423,511.415,736.817,699.6