SBI Life Insurance Company Limited

NSE:SBILIFE.NS

1730.1 (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 18,937.78117,205.72415,059.97714,558.49414,221.83113,267.96411,503.9229,546.538,441.038,148.677,277.536,301.12
Depreciation & Amortization 762.274677.91748.961993.98892.509916.978593.054475.58371.253.023.022.41
Deferred Income Tax 000000000000
Stock Based Compensation 06.0558.1243.1331.1260000000
Change In Working Capital 000000000000
Accounts Receivables 000000000000
Inventory 000000000000
Accounts Payables 000000000000
Other Working Capital 000000000000
Other Non Cash Items 271,518.576399,263.84320,998.14223,220.836177,870.416120,543.678-11,503.922-9,546.53-8,441.03-8,148.67-7,277.53-6,301.12
Operating Cash Flow 291,218.631417,153.529336,815.202238,776.443192,985.882134,728.6211,503.9229,546.538,441.038,148.677,277.536,301.12
Investing Activities:
Investments In Property Plant And Equipment -1,143.896-632.015-557.872-1,045.207-809.928-1,423.879-1,074.352-1,484.67-1,812.75-248.72-515.4-150.8
Acquisitions Net 0130,338.93118,087.652108,316.93381,547.33569,326.460,004.3347,786.5938,900.6531,427.3326,402.0620,403.54
Purchases Of Investments -2,697,198.479-2,418,353.887-1,636,729.598-1,486,804.261-1,296,007.92-973,622.915-796,005.84-749,287.54-687,168.44-500,022.56-468,415.66-496,468.71
Sales Maturities Of Investments 2,230,711.6081,986,609.3371,304,331.0221,188,561.8461,045,430.92770,342.468648,085.453612,745.59577,913.08467,053.13435,627.57474,038.92
Other Investing Activites 155,417.4447.629-1,241.308-1,056.379-29.375-150.711-107.698-72.38130.178.4-182.72-90.47
Investing Cash Flow -312,213.323-302,030.006-216,110.104-192,027.068-169,868.968-135,528.637-89,098.107-90,312.41-72,037.29-1,782.42-7,084.15-2,267.52
Financing Activities:
Debt Repayment 000000000000
Common Stock Issued 430.51351.491189.96526.49314.790000000
Common Stock Repurchased 000000000000
Dividends Paid -2,703.748-4,502.441-2,500.0610-1,999.592-1,999.512-1,500-1,200-1,200-1,000-500-500
Other Financing Activities 000-0.001-0.001-411.106-712.518-244.29-239.93-169.95-81.11-81.11
Financing Cash Flow -2,273.238-4,150.95-2,310.09626.493-1,984.803-2,410.618-2,212.518-1,444.29-1,439.93-1,169.95-581.11-581.11
Other Information:
Effect Of Forex Changes On Cash 0-130,593.067-118,295.851-5.9325.1284.5851.463-5.2449,338.3518,966.2-5,613.154,998.51
Net Change In Cash -23,267.929-19,620.49499.15146,769.93621,137.239-3,206.0512,627.505-6,510.79-15,697.8424,162.5-6,000.888,451
Cash At End Of Period 65,957.73589,225.664108,846.158108,747.00761,977.07140,839.83244,197.16631,569.6638,080.4553,778.2929,615.7935,616.67