Navneet Education Limited

NSE:NAVNETEDUL.NS

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operating Activities:
Net Income 2,515.72,979.71,898.5887.52,718.62,453.12,098.92,533.11,908.81,996.41,757.11,636.41,196.71,067.8984.1847.9743.7635.9497461.9
Depreciation & Amortization 654.3580.7496.7471.2468.8327306.6283.5287.5307.6258234.5171.3136128.1126.3104.685.492.189.6
Deferred Income Tax 00-1,098.600000000000000000
Stock Based Compensation 001.600000000000000000
Change In Working Capital -676.3-2,637.6-1,290.61,818.6195.3-969.4-1,155.1-1,139.8541.8-99.8-889.3-658-889.9-192.6-33.3-281-411.9-140-225.764.5
Accounts Receivables -357.5-920.2-585.8839.2194.6231.9-460.9-912.2-7.282.7-369.7-27300000000
Inventory -140.5-1,618.9-539.7554.2757.4-1,261.2-454.9-768.6419.3-146.7-585.5-575.2-405.322178.4-252.3-440.1-41.7-266.895.5
Accounts Payables -121.3-42.7-98.4320.8-446103.54.5459.5115.700000000000
Other Working Capital -57-55.8-66.7104.4-310.7-43.6-700.2-371.2122.546.9-303.8-82.8-484.6-214.6-211.7-28.728.2-98.341.1-31
Other Non Cash Items 829.4-1,138.753.6-498.7-550.2-858-935.6-904-795.8-582.2-534.5-480.8-400.9-409.9-359.8-218.4-223.6-218.1-149.6-152.2
Operating Cash Flow 1,395.2-215.961.22,678.62,832.5952.7314.8772.81,942.31,622591.3732.177.2601.3719.1474.8212.8363.2213.8463.8
Investing Activities:
Investments In Property Plant And Equipment -750-508.9-382.5-315-423.8-327.7-371.9-994.3-313.2-182.7-448.8-386.5-517.7-412.2-217.3-138.4-380.9-69.800
Acquisitions Net 409.9-452.7-574.2-70-200.5-143.2-213.876.665.7112.7448.812.6100.2-0.43.84.300
Purchases Of Investments -11,187.5-10,301.2-10,082.4-10,552.1-12,314.2-3,340-16,436-28,904.5-30,598.6-18.1-155.2-327-5.6035-8728.8-67.500
Sales Maturities Of Investments 11,197.910,314.310,037.110,53712,300.93,342.216,447.628,941.730,59372.422.411.787.40.470.70.224.1221.9
Other Investing Activites -44.189760.7-1.148.538.1203.2109-0.10.1-464-0.155.647.10.121.6-0.113-82.9-112.5
Investing Cash Flow -373.8-859.5-241.3-401.2-589.1-430.6-370.9-771.5-253.2-81-616.8-699-464.3-353.4-94.6-203.8-277.7-119.8-58.8109.4
Financing Activities:
Debt Repayment -296.3-5,192.8-2,784-6,053.9-15,823.4-5,200-9.5-562-401.400-239.70-46.4000000
Common Stock Issued 003,549.3006,27200000000000000
Common Stock Repurchased 00-321.300-756.10-582.10-3.4-0.6000000000
Dividends Paid -589.6-342.2-2300-1,103.7-422.3-702.80-1,247.2-557.3-500.5-221.4-386.3-167.9-566.1-6.9-265.9-217.7-234.2-163.4
Other Financing Activities -495.9536,546.1-4.93,91314,918.5-6.1-86.8519.1-438-994.2560.5172.7711.4-31.5-28-236.5334.72.278.3-424
Financing Cash Flow -1,0341,011.1209.1-2,140.9-2,008.6-112.5-789.6-63-1,685.2-1,554.959.4-48.7325.1-245.8-594.1-243.468.8-215.5-155.9-587.4
Other Information:
Effect Of Forex Changes On Cash 00.100-0.1-3.100.10-0.20.10.100001.11.50-0.1
Net Change In Cash -26.7-64.329136.5234.7406.5-845.7-61.63.9-14.134-15.5-622.130.427.6529.4-0.9-14.3
Cash At End Of Period 247.1-180-115.8-144.8-281.3-516.1-922.6-76.85955.169.235.251113110.980.552.947.918.219.1