Jubilant Industries Limited

NSE:JUBLINDS.NS

1702.65 (INR) • At close September 18, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income 397.9834.7723.9251.8172.8820.74-45.95-1.68-94.56-1,179.36208.53-349.98-504.57404.07-0.120
Depreciation & Amortization 150.5142.1126.88126.63115.0390.6690.7390.981.25307.44316.4314.54293.157.5300
Deferred Income Tax 000-11.97-2.515.827.01000000000
Stock Based Compensation 30.713.77.673.080.191.852.372.0900000000
Change In Working Capital 16.9-938-702.8192.04-28.97273.54103.69-6.2711.67-18.54410.98676.7-709.01-76.69-0.004-0.086
Accounts Receivables -137.1-415.9-1,190.03-178.5429.87-9.33156.88-133.65153.7315.65292.55-147.360000
Inventory -477.7453.5-1,411.9-172.71-78.8266.5-98.01-31.53-0.32139.9119.8-136.1157.27332.400
Accounts Payables 631.7-975.631,899.12443.2919.98216.3744.82180.0400000000
Other Working Capital 00.030000201.725.2611.99-158.44291.18812.81-766.28-409.0900
Other Non Cash Items 196.892144.27156.98216.09248.88254.64393.4380.72729.1-530.09313.64331.18-16.340.010
Operating Cash Flow 758.8144.5299.91618.56472.71641.49412.49476.46-0.92-161.36405.82954.9-589.3368.57-0.114-0.086
Investing Activities:
Investments In Property Plant And Equipment -199.2-197.7-234.19-69.45-194.21-71.53-63.38-143.11-0.15-224.61-351.22-521.05-169.8-190.2600
Acquisitions Net 11.19.120.530.492.53.262.630.764.150000000
Purchases Of Investments 0-9.21-14.620000000000000
Sales Maturities Of Investments 00.0914.090000000000000
Other Investing Activites 1215.417.18106.250.393.225.554.110.030.1218.58-19.49365.49-386.4500
Investing Cash Flow -187.2-182.3-217.0137.29-191.32-65.05-57.83-139-0.12-224.49-332.64-540.54195.69-576.7100
Financing Activities:
Debt Repayment -263-682.2-365.7-417.5-465-808.66-2,063.02-74.02-1.06-273.23-9.04-199.38-20.73-970.900
Common Stock Issued 04.100132.55288.891.732.933.98000000.40.2
Common Stock Repurchased 0000000000000000
Dividends Paid 00000-0.24000000-27.7000
Other Financing Activities -301.2699.1275.82-189.2635.97-93.311,745.41-292.81-0.2642.17-210.08-323.74174.0935.6900
Financing Cash Flow -470.321-89.88-606.76-296.48-613.32-315.88-363.92.72368.94-210.08-323.74125.66-935.210.40.2
Other Information:
Effect Of Forex Changes On Cash 0.2-2.96.04-4.671.522.05-0.93-0.910.38-0.5300317.710.0900
Net Change In Cash 101.5-19.7-0.9444.42-13.57-34.8337.85-27.351.68-17.44-136.990.6249.76-1,143.260.2860.114
Cash At End Of Period 145.644.163.7664.720.2833.8568.6830.833.1748.4665.9202.8112.18364.50.40.114