day ×
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Profit margin

Debt to assets

Cash flow

(in millions JPY) 29 Sep 2022 29 Jun 2022 30 Mar 2022 30 Dec 2021
Current assets
Cash ¥412,839 ¥483,976 ¥421,219 ¥398,408
Short term investments
Net receivables ¥831,508 ¥788,540 ¥920,584 ¥889,099
Inventory ¥632,373 ¥617,614 ¥531,788 ¥607,778
Other current assets ¥206,259 ¥436,931 ¥2,031 ¥176,649
Total current assets ¥2,082,979 ¥2,327,061 ¥2,266,041 ¥2,071,934
Long term investments ¥713,025 ¥678,250 ¥558,446 ¥647,975
Property, plant & equipment ¥581,125 ¥574,461 ¥565,353 ¥589,825
Goodwill ¥66,576
Intangible assets ¥164,920 ¥167,521 ¥91,784 ¥153,006
Other assets ¥96,734 ¥94,179 ¥186,319 ¥79,585
Deferred long term asset charges ¥96,734 ¥94,179 ¥86,146 ¥79,585
Total assets ¥3,638,783 ¥3,841,472 ¥3,734,519 ¥3,542,325
Current liabilities
Accounts payable ¥731,529 ¥756,561 ¥482,266 ¥749,498
Short long term debt ¥94,240 ¥94,500 ¥60,704 ¥40,012
Other current liabilities ¥607,130 ¥716,092 ¥915,383 ¥564,903
Total current liabilities ¥1,478,431 ¥1,613,017 ¥1,509,867 ¥1,403,209
Long term debt ¥288,850 ¥289,310 ¥310,995 ¥343,420
Other liabilities ¥453,365 ¥477,953 ¥467,569 ¥472,808
Deferred long term liabilities
Minority interest ¥107,629 ¥170,939 ¥160,030 ¥147,991
Total liabilities ¥2,285,320 ¥2,448,800 ¥2,367,855 ¥2,296,378
Stockholders' equity
Stock option warrants
Common stock ¥200,869 ¥200,869 ¥200,869 ¥200,558
Retained earnings ¥1,119,187 ¥1,113,642 ¥1,118,039 ¥1,040,174
Treasury stock -¥74,226 -¥92,778 -¥112,274 -¥142,924
Capital surplus ¥4 ¥148
Other stockholder equity -¥71,919 -¥90,498 -¥110,011 -¥140,680
Total stockholder equity ¥1,245,834 ¥1,221,733 ¥1,206,634 ¥1,097,956
Net tangible assets ¥1,080,914 ¥1,054,212 ¥1,048,274 ¥944,950
(in millions JPY) 2022 2021 2020
Current assets
Cash ¥421,219 ¥525,456 ¥376,973
Short term investments
Net receivables ¥920,584 ¥985,499 ¥1,041,458
Inventory ¥531,788 ¥475,765 ¥482,327
Other current assets ¥2,031 ¥873 ¥827
Total current assets ¥2,266,041 ¥2,130,908 ¥2,038,099
Long term investments ¥558,446 ¥529,797 ¥505,387
Property, plant & equipment ¥565,353 ¥575,442 ¥575,810
Goodwill ¥66,576 ¥58,692 ¥56,794
Intangible assets ¥91,784 ¥70,064 ¥62,883
Other assets ¥186,319 ¥135,733 ¥144,460
Deferred long term asset charges ¥86,146 ¥79,585 ¥84,336
Total assets ¥3,734,519 ¥3,500,636 ¥3,383,433
Current liabilities
Accounts payable ¥482,266 ¥481,877 ¥502,066
Short long term debt ¥60,704 ¥5,601 ¥44,332
Other current liabilities ¥915,383 ¥718,259 ¥788,655
Total current liabilities ¥1,509,867 ¥1,254,881 ¥1,397,917
Long term debt ¥310,995 ¥367,304 ¥167,640
Other liabilities ¥467,569 ¥477,474 ¥620,828
Deferred long term liabilities
Minority interest ¥160,030 ¥139,996 ¥136,620
Total liabilities ¥2,367,855 ¥2,196,106 ¥2,307,007
Stockholders' equity
Stock option warrants
Common stock ¥200,869 ¥200,558 ¥200,175
Retained earnings ¥1,118,039 ¥1,127,130 ¥1,031,231
Treasury stock -¥112,274 -¥163,361 -¥291,600
Capital surplus ¥207
Other stockholder equity -¥110,011 -¥158,307 -¥286,593
Total stockholder equity ¥1,206,634 ¥1,164,534 ¥939,806
Net tangible assets ¥1,048,274 ¥1,035,778 ¥820,129

Income statement

(in millions JPY) 29 Sep 2022 29 Jun 2022 30 Mar 2022 30 Dec 2021
Revenue
Total revenue ¥854,562 ¥740,650 ¥1,000,215 ¥808,719
Cost of revenue ¥639,033 ¥556,698 ¥675,537 ¥590,754
Gross profit ¥215,529 ¥183,952 ¥324,678 ¥217,965
Operating activities
Research & development
Selling, general & administrative ¥207,983 ¥188,760 ¥235,017 ¥175,293
Non-recurring
Other operating expenses ¥108,474 ¥108,474
Total operating expenses ¥847,016 ¥745,458 ¥1,019,028 ¥766,047
Operating income ¥7,546 -¥4,808 -¥18,813 ¥42,672
Income from continuing operations
Net other income ¥81,247 ¥46,522 ¥105,865 ¥27,260
EBIT ¥7,546 -¥4,808 -¥18,813 ¥42,672
Interest expense -¥1,182 -¥1,350 -¥1,113 -¥1,068
Income before tax ¥88,793 ¥41,714 ¥87,052 ¥69,932
Income tax expense ¥14,398 ¥5,557 ¥2,173 ¥10,249
Minority interest ¥107,629 ¥170,939 ¥160,030 ¥147,991
Net income from continuing ops ¥74,395 ¥36,157 ¥84,879 ¥59,683
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net income ¥74,768 ¥25,893 ¥79,732 ¥55,124
Income (for common shares) ¥74,768 ¥25,893 ¥79,732 ¥55,124
(in millions JPY) 2022 2021 2020
Revenue
Total revenue ¥3,387,684 ¥3,137,806 ¥3,411,881
Cost of revenue ¥2,405,821 ¥2,182,554 ¥2,418,197
Gross profit ¥981,863 ¥955,252 ¥993,684
Operating activities
Research & development
Selling, general & administrative ¥772,201 ¥764,166 ¥828,951
Non-recurring
Other operating expenses ¥124,636 ¥41,239 ¥147,630
Total operating expenses ¥3,302,658 ¥2,987,959 ¥3,394,778
Operating income ¥85,026 ¥149,847 ¥17,103
Income from continuing operations
Net other income ¥154,079 ¥3,641 -¥64,642
EBIT ¥85,026 ¥149,847 ¥17,103
Interest expense -¥4,366 -¥4,549 -¥5,409
Income before tax ¥239,105 ¥153,488 -¥47,539
Income tax expense ¥24,845 ¥13,759 ¥35,120
Minority interest ¥160,030 ¥139,996 ¥136,620
Net income from continuing ops ¥214,260 ¥139,729 -¥82,659
Non-recurring events
Discontinued operations -¥7,728 -¥13,794
Extraordinary items
Effect of accounting change
Other items
Net income
Net income ¥194,651 ¥113,981 -¥114,633
Income (for common shares) ¥194,651 ¥113,981 -¥114,633
(in millions JPY) 29 Sep 2022 29 Jun 2022 30 Mar 2022 30 Dec 2021
Net income ¥74,768 ¥25,893 ¥79,732 ¥55,124
Operating activities
Depreciation ¥23,589 ¥22,065 ¥20,432 ¥21,762
Net income adjustments -¥63,852 -¥46,053 -¥33,387 -¥22,447
Change in accounts receivable -¥46,225 ¥180,598 -¥90,334 -¥45,981
Changes in liabilities -¥519 -¥32,855 -¥7,348 ¥40,924
Changes in inventory -¥8,417 -¥71,845 ¥52,092 -¥64,440
Changes in other operating activities -¥71,989 ¥22,981 ¥70,609 -¥8,811
Total cash flows from operations -¥93,018 ¥111,048 ¥84,037 -¥19,310
Investing activities
Capital expenditures -¥31,038 -¥28,266 -¥31,252 -¥19,018
Investments -¥327 ¥6 ¥552 ¥3,969
Other cash flows from investing ¥29,676 ¥10,752 -¥4,538 -¥7,842
Total cash flows from investing ¥75,171 -¥17,442 -¥43,321 -¥28,125
Financing activities
Dividends paid -¥74,761 -¥31,164 -¥1,106 -¥20,835
Sale and purchase of stock
Net borrowings -¥1,784 -¥4,090 -¥187 -¥1,420
Other cash flows from financing -¥1 -¥5 -¥3,833 -¥42
Total cash flows from financing -¥76,573 -¥35,276 -¥5,145 -¥22,321
Effect of exchange rate -¥1,302 ¥7,333 ¥8,919 ¥2,474
Change in cash and equivalents -¥71,137 ¥41,078 ¥22,811 -¥67,282
(in millions JPY) 2022 2021 2020
Net income ¥194,651 ¥113,981 -¥114,633
Operating activities
Depreciation ¥85,157 ¥85,211 ¥79,615
Net income adjustments -¥63,590 -¥8,391 ¥94,825
Change in accounts receivable -¥2,655 ¥71,619 ¥38,891
Changes in liabilities ¥24,211 -¥9,796 -¥156,220
Changes in inventory -¥73,857 ¥11,414 -¥20,049
Changes in other operating activities ¥93,086 -¥103,875 -¥80,118
Total cash flows from operations ¥249,244 ¥145,145 -¥142,148
Investing activities
Capital expenditures -¥94,779 -¥117,461 -¥119,267
Investments ¥3,751 ¥2,828 -¥1,248
Other cash flows from investing -¥7,672 ¥25,594 ¥9,686
Total cash flows from investing -¥124,521 -¥106,671 -¥122,514
Financing activities
Dividends paid -¥109,429 -¥21,293 -¥23,319
Sale and purchase of stock
Net borrowings -¥3,346 ¥152,858 -¥205,158
Other cash flows from financing -¥3,891 -¥33,707 -¥157,881
Total cash flows from financing -¥216,832 ¥97,811 -¥687,244
Effect of exchange rate ¥9,551 ¥12,198 -¥6,641
Change in cash and equivalents -¥104,237 ¥148,483 -¥958,547

Quarterly EPS estimates

Profit margin

Debt to assets

Cash flow

(in millions USD) 29 Sep 2022 29 Jun 2022 30 Mar 2022 30 Dec 2021
Current assets
Cash $32,626 $30,608 $88,184
Short term investments $76,332 $74,803 $58,535
Net receivables $45,368 $44,493 $39,565
Inventory $25,102 $24,560 $20,954
Total current assets $180,889 $175,749 $208,089
Long term investments $353,483 $366,292 $384,528
Property, plant & equipment $192,989 $192,413 $196,373
Goodwill & intangible assets
Total noncurrent assets
Total investments
Total assets $902,296 $909,860 $958,784
Current liabilities
Accounts payable $47,710 $46,963 $40,804
Deferred revenue
Short long term debt $6,139
Total current liabilities $123,941 $127,089 $51,373
Long term debt $114,681 $116,840 $105,772
Total noncurrent liabilities
Total debt
Total liabilities $438,549 $440,207 $443,854
Stockholders' equity
Retained earnings $493,438 $496,126 $534,421
Other stockholder equity -$8,234 -$6,175 -$4,027
Total stockholder equity $455,430 $461,229 $506,199
(in millions USD) 2021 2020 2019
Current assets
Cash $88,184 $47,990 $64,175
Short term investments $58,535 $90,300 $63,822
Net receivables $39,565 $35,852 $35,835
Inventory $20,954 $19,208 $19,852
Total current assets $208,089 $194,026 $184,286
Long term investments $384,528 $318,883 $284,217
Property, plant & equipment $196,373 $192,596 $180,282
Goodwill & intangible assets
Total noncurrent assets
Total investments
Total assets $958,784 $873,729 $817,729
Current liabilities
Accounts payable $40,804 $39,978 $36,361
Deferred revenue
Short long term debt $6,139
Total current liabilities $51,373 $45,626 $44,441
Long term debt $105,772 $113,547 $98,682
Total noncurrent liabilities
Total debt
Total liabilities $443,854 $422,393 $389,166
Stockholders' equity
Retained earnings $534,421 $444,626 $402,493
Other stockholder equity -$4,027 -$4,243 -$5,243
Total stockholder equity $506,199 $443,164 $424,791

Income statement

(in millions USD) 29 Sep 2022 29 Jun 2022 30 Mar 2022 30 Dec 2021
Revenue
Total revenue $76,934 $76,180 $71,798
Cost of revenue $80,400 $130,806 $22,075
Gross profit -$3,466 -$54,626 $49,723
Operating activities
Research & development
Selling, general & administrative
Total operating expenses $80,400 $130,806 $22,075
Operating income -$3,466 -$54,626 -$54,626 $49,723
Income from continuing operations
EBIT -$3,466 -$54,626 $49,723
Income tax expense -$1,529 -$12,106 $9,055
Interest expense -$1,092 -$1,087 -$1,087 -$990
Net income
Net income -$2,688 -$43,755 $39,646
Income (for common shares) -$2,688 -$43,755 -$43,755 $39,646
(in millions USD) 2021 2020 2019
Revenue
Total revenue $276,094 $245,510 $254,616
Cost of revenue $161,231 $175,789 $149,039
Gross profit $114,863 $69,721 $105,577
Operating activities
Research & development
Selling, general & administrative
Total operating expenses $161,231 $175,789 $149,039
Operating income $114,863 $69,721 $105,577
Income from continuing operations
EBIT $114,863 $69,721 $105,577
Income tax expense $20,879 $12,440 $20,904
Interest expense -$4,172 -$4,083 -$3,961
Net income
Net income $89,795 $42,521 $81,417
Income (for common shares) $89,795 $42,521 $81,417
(in millions USD) 29 Sep 2022 29 Jun 2022 30 Mar 2022 30 Dec 2021
Net income -$2,688 -$43,755 $39,646
Operating activities
Depreciation $2,728 $2,710 $2,710 $2,705
Business acquisitions & disposals
Stock-based compensation
Total cash flows from operations $11,662 $8,532 $8,532 $7,795
Investing activities
Capital expenditures -$4,074 -$3,743 -$3,743 -$4,032
Investments -$3,490 -$11,487 -$11,487 $22,543
Total cash flows from investing -$7,336 -$15,607 -$15,607 $17,311
Financing activities
Dividends paid
Sale and purchase of stock
Net borrowings -$886 $1,072 $1,072 -$335
Total cash flows from financing -$1,918 -$1,036 -$1,036 -$7,144
Effect of exchange rate -$276 -$327 -$327 $103
Change in cash and equivalents $2,132 -$8,438 -$8,438 $18,065
(in millions USD) 2021 2020 2019
Net income $89,795 $42,521 $81,417
Operating activities
Depreciation $10,718 $10,596 $10,064
Business acquisitions & disposals
Stock-based compensation
Total cash flows from operations $39,421 $39,773 $38,687
Investing activities
Capital expenditures -$13,276 -$13,012 -$15,979
Investments $42,354 -$18,252 $13,267
Total cash flows from investing $29,392 -$37,757 -$5,621
Financing activities
Dividends paid
Sale and purchase of stock
Net borrowings -$752 $6,791 $6,077
Total cash flows from financing -$28,508 -$18,344 $730
Effect of exchange rate $5 $92 $25
Change in cash and equivalents $40,310 -$16,236 $33,821

Quarterly EPS estimates

Profit margin

Debt to assets

Cash flow

(in millions INR) 31 Mar 2024 30 Sep 2023 31 Mar 2023 30 Sep 2022
Current assets
Cash ₨3,030.7 ₨3,333.8 ₨2,485.1 2,131.6
Short term investments ₨1,815.2 ₨20,880.7 ₨20,797 26,673.7
Net receivables ₨29,607.1 ₨28,449.5 ₨25,482.5 26,629.9
Inventory ₨44,685.8 ₨40,519.3 ₨41,410.5 43,197
Other current assets ₨3,203.8 ₨4,705.6 ₨2,850.1 2,853.1
Total current assets ₨105,495.5 ₨97,888.9 ₨92,436.8 101,485.3
Long term investments ₨11,237.4 ₨11,201.5 ₨11,129.9 11,253.1
Property, plant & equipment ₨144,050.1 ₨141,277.1 ₨131,378.9 115,510
Goodwill
Intangible assets ₨257.4 ₨261.1 ₨259.4 209.3
Other assets ₨7,412.2 ₨7,457.1 ₨8,476.3 10,169.8
Deferred long term asset charges
Total assets ₨268,494.3 ₨258,090.4 ₨243,694.1 238,628.7
Current liabilities
Accounts payable ₨26,527.8 ₨24,275.6 ₨24,357.7 27,480.3
Short long term debt ₨14,422 ₨17,871.5 ₨16,814.1 18,876
Other current liabilities ₨28,720.4 ₨34,885.7 ₨26,792.5 28,498.8
Total current liabilities ₨77,100.3 ₨77,032.8 ₨74,953.2 74,855.1
Long term debt ₨13,793 ₨13,481.7 ₨13,322 12,301.9
Other liabilities -₨24,876 ₨4,973.9 -₨31,881.2 5,194
Deferred long term liabilities
Minority interest ₨1.7 ₨1.6 ₨1.6 1.5
Total liabilities ₨101,462.7 ₨99,778 ₨96,615.9 96,272
Stockholders' equity
Stock option warrants
Common stock ₨42.4 ₨42.4 ₨42.4 42.4
Retained earnings 167,848.5 147,778.7
Treasury stock
Capital surplus
Other stockholder equity -₨953.5 ₨158,270 -₨837.1 142,314.3
Total stockholder equity ₨158,312.4 ₨147,078.2 142,356.7
Net tangible assets
(in millions INR) 2024 2023 2022
Current assets
Cash ₨3,030.7 ₨2,485.1 2,543.9
Short term investments ₨1,815.2 ₨20,797 6,000
Net receivables ₨29,607.1 ₨25,482.5 23,884
Inventory ₨44,685.8 ₨41,410.5 41,296.7
Other current assets ₨3,203.8 ₨2,850.1 3,272.5
Total current assets ₨105,495.5 ₨92,436.8 102,636.5
Long term investments ₨11,237.4 ₨11,129.9 11,377.4
Property, plant & equipment ₨144,050.1 ₨131,378.9 107,336.6
Goodwill
Intangible assets ₨257.4 ₨259.4 212.3
Other assets ₨7,412.2 ₨8,476.3 9,025.1
Deferred long term asset charges
Total assets ₨268,494.3 ₨243,694.1 230,597.4
Current liabilities
Accounts payable ₨26,527.8 ₨24,357.7 20,567.8
Short long term debt ₨14,422 ₨16,814.1 20,608.7
Other current liabilities ₨28,720.4 ₨26,792.5 21,953.1
Total current liabilities ₨77,100.3 ₨74,953.2 69,567.3
Long term debt ₨13,793 ₨13,322 11,680.8
Other liabilities -₨24,876 -₨31,881.1 -39,298.8
Deferred long term liabilities
Minority interest ₨1.7 ₨1.6 1.5
Total liabilities ₨101,462.7 ₨96,615.9 90,278.4
Stockholders' equity
Stock option warrants
Common stock ₨42.4 ₨42.4 42.4
Retained earnings ₨167,848.5 ₨147,778.7 140,725.3
Treasury stock
Capital surplus
Other stockholder equity -₨953.5 -₨837.1 -542.9
Total stockholder equity ₨167,031.6 ₨147,078.2 140,319
Net tangible assets

Income statement

(in millions INR) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Revenue
Total revenue ₨71,964.5 ₨63,537.7 ₨61,624.6 62,171
Cost of revenue ₨44,865.8 ₨41,461.2 ₨36,681 36,505.7
Gross profit ₨27,098.7 ₨22,076.5 ₨24,943.6 25,665.3
Operating activities
Research & development
Selling, general & administrative ₨4,575.8 ₨8,097 ₨4,495.4 4,435.6
Non-recurring
Other operating expenses ₨15,734.2 ₨8,928.2 ₨14,400.3 14,030.8
Total operating expenses ₨64,329.1 ₨57,601.8 ₨54,676.7 54,116.7
Operating income ₨7,635.4 ₨5,935.9 ₨6,947.9 8,054.3
Income from continuing operations
Net other income ₨15,734.2 ₨8,928.2 ₨14,400.3 14,030.8
EBIT
Interest expense -₨846.7 -₨884.6 -₨900 -855.4
Income before tax ₨7,629.1 ₨5,273.4 ₨6,824.1 7,906.1
Income tax expense ₨1,918.9 ₨1,312.3 ₨1,727 2,039.5
Minority interest 1.7 1.6
Net income from continuing ops
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items ₨6.3 -₨832.8 ₨123.8 148.2
Net income
Net income ₨5,710.2 ₨3,961 ₨5,097.1 5,866.6
Income (for common shares) ₨5,710.2 ₨3,961 ₨5,097.1 5,866.6
(in millions INR) 2024 2023 2022
Revenue
Total revenue ₨251,736.2 ₨230,150.2 171,667.8
Cost of revenue ₨153,830.8 ₨157,171.4 117,781
Gross profit ₨97,905.4 ₨72,978.8 53,886.8
Operating activities
Research & development
Selling, general & administrative ₨21,270.1 ₨18,868.7 11,851.6
Non-recurring
Other operating expenses ₨51,213.5 ₨45,301.9 82,398.6
Total operating expenses ₨222,832.2 ₨218,198.8 165,546.3
Operating income ₨28,904 11,951.4
Income from continuing operations
Net other income ₨51,213.5 ₨45,301.9 82,398.6
EBIT
Interest expense -₨3,482.2 -₨3,143.2 -2,265.4
Income before tax ₨27,874.2 ₨10,697.4 5,684.9
Income tax expense ₨7,061.9 ₨3,007.8 1,402
Minority interest ₨1.7 1.6
Net income from continuing ops
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items -₨465.5 264.1
Net income
Net income ₨20,812.2 ₨7,689.5 4,282.9
Income (for common shares) ₨20,812.2 ₨7,689.5 4,282.9
(in millions INR) 31 Mar 2022 30 Sep 2021 31 Mar 2021 30 Sep 2020
Net income ₨4,303.8 ₨4,775.5 ₨17,368.4 5,975.4
Operating activities
Depreciation ₨6,064.8 ₨5,985.7 ₨11,407.7 5,584.8
Net income adjustments
Change in accounts receivable
Changes in liabilities
Changes in inventory
Changes in other operating activities
Total cash flows from operations ₨2,485.9 -₨8,266.2 ₨43,245.8 24,157.8
Investing activities
Capital expenditures -₨11,211.7 -₨5,858.4 -₨8,527.4 -3,914.8
Investments
Other cash flows from investing ₨3,779.1 ₨14,941.1 -₨42,334.8 7,394.3
Total cash flows from investing -₨7,432.6 ₨9,082.7 -₨50,862.2 3,479.5
Financing activities
Dividends paid -₨25.3 -₨610.7 -₨424.1 -398.7
Sale and purchase of stock
Net borrowings ₨5,478.6 ₨1,752.9 ₨457.5 4,092.1
Other cash flows from financing -₨1,143 -₨1,214.9 -₨2,530.2 -1,357.9
Total cash flows from financing ₨4,310.3 -₨72.7 -₨2,496.8 2,335.5
Effect of exchange rate ₨7.4 ₨3.6 -3.5
Change in cash and equivalents -₨629 ₨747.4 -₨10,116.7 29,972.8
(in millions INR) 2024 2023 2022
Net income ₨20,812.2 ₨7,689.5 6,692.3
Operating activities
Depreciation ₨14,193.6 ₨12,443.2 11,952.2
Net income adjustments
Change in accounts receivable
Changes in liabilities
Changes in inventory
Changes in other operating activities
Total cash flows from operations ₨33,005 ₨27,554.7 -5,780.1
Investing activities
Capital expenditures -₨21,623.2 -₨32,912.4 -17,070.1
Investments
Other cash flows from investing -₨2,168.6 ₨13,677.7 18,746.4
Total cash flows from investing -₨23,791.8 -₨19,234.7 1,676.3
Financing activities
Dividends paid -₨742.2 -₨636.2 -636.2
Sale and purchase of stock
Net borrowings -₨5,058.9 -₨5,074.4 7,224.7
Other cash flows from financing -₨2,881.1 -₨2,684.8 -2,351.1
Total cash flows from financing -₨8,682.2 -₨8,395.4 4,237.4
Effect of exchange rate -₨198 -₨247 -618.9
Change in cash and equivalents ₨545.6 -₨58.8 144.6

Quarterly EPS estimates

Profit margin

Debt to assets

Cash flow

(in millions INR) 31 Mar 2024 30 Sep 2023 31 Mar 2023 30 Sep 2022
Current assets
Cash ₨3,030.7 ₨3,333.8 ₨2,485.1 2,131.6
Short term investments ₨1,815.2 ₨20,880.7 ₨20,797 26,673.7
Net receivables ₨29,607.1 ₨28,449.5 ₨25,482.5 26,629.9
Inventory ₨44,685.8 ₨40,519.3 ₨41,410.5 43,197
Other current assets ₨3,203.8 ₨4,705.6 ₨2,850.1 2,853.1
Total current assets ₨105,495.5 ₨97,888.9 ₨92,436.8 101,485.3
Long term investments ₨11,237.4 ₨11,201.5 ₨11,129.9 11,253.1
Property, plant & equipment ₨144,050.1 ₨141,277.1 ₨131,378.9 115,510
Goodwill
Intangible assets ₨257.4 ₨261.1 ₨259.4 209.3
Other assets ₨7,412.2 ₨7,457.1 ₨8,476.3 10,169.8
Deferred long term asset charges
Total assets ₨268,494.3 ₨258,090.4 ₨243,694.1 238,628.7
Current liabilities
Accounts payable ₨26,527.8 ₨24,275.6 ₨24,357.7 27,480.3
Short long term debt ₨14,422 ₨17,871.5 ₨16,814.1 18,876
Other current liabilities ₨28,720.4 ₨34,885.7 ₨26,792.5 28,498.8
Total current liabilities ₨77,100.3 ₨77,032.8 ₨74,953.2 74,855.1
Long term debt ₨13,793 ₨13,481.7 ₨13,322 12,301.9
Other liabilities -₨24,876 ₨4,973.9 -₨31,881.2 5,194
Deferred long term liabilities
Minority interest ₨1.7 ₨1.6 ₨1.6 1.5
Total liabilities ₨101,462.7 ₨99,778 ₨96,615.9 96,272
Stockholders' equity
Stock option warrants
Common stock ₨42.4 ₨42.4 ₨42.4 42.4
Retained earnings 167,848.5 147,778.7
Treasury stock
Capital surplus
Other stockholder equity -₨953.5 ₨158,270 -₨837.1 142,314.3
Total stockholder equity ₨158,312.4 ₨147,078.2 142,356.7
Net tangible assets
(in millions INR) 2024 2023 2022
Current assets
Cash ₨3,030.7 ₨2,485.1 2,543.9
Short term investments ₨1,815.2 ₨20,797 6,000
Net receivables ₨29,607.1 ₨25,482.5 23,884
Inventory ₨44,685.8 ₨41,410.5 41,296.7
Other current assets ₨3,203.8 ₨2,850.1 3,272.5
Total current assets ₨105,495.5 ₨92,436.8 102,636.5
Long term investments ₨11,237.4 ₨11,129.9 11,377.4
Property, plant & equipment ₨144,050.1 ₨131,378.9 107,336.6
Goodwill
Intangible assets ₨257.4 ₨259.4 212.3
Other assets ₨7,412.2 ₨8,476.3 9,025.1
Deferred long term asset charges
Total assets ₨268,494.3 ₨243,694.1 230,597.4
Current liabilities
Accounts payable ₨26,527.8 ₨24,357.7 20,567.8
Short long term debt ₨14,422 ₨16,814.1 20,608.7
Other current liabilities ₨28,720.4 ₨26,792.5 21,953.1
Total current liabilities ₨77,100.3 ₨74,953.2 69,567.3
Long term debt ₨13,793 ₨13,322 11,680.8
Other liabilities -₨24,876 -₨31,881.1 -39,298.8
Deferred long term liabilities
Minority interest ₨1.7 ₨1.6 1.5
Total liabilities ₨101,462.7 ₨96,615.9 90,278.4
Stockholders' equity
Stock option warrants
Common stock ₨42.4 ₨42.4 42.4
Retained earnings ₨167,848.5 ₨147,778.7 140,725.3
Treasury stock
Capital surplus
Other stockholder equity -₨953.5 -₨837.1 -542.9
Total stockholder equity ₨167,031.6 ₨147,078.2 140,319
Net tangible assets

Income statement

(in millions INR) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Revenue
Total revenue ₨71,964.5 ₨63,537.7 ₨61,624.6 62,171
Cost of revenue ₨44,865.8 ₨41,461.2 ₨36,681 36,505.7
Gross profit ₨27,098.7 ₨22,076.5 ₨24,943.6 25,665.3
Operating activities
Research & development
Selling, general & administrative ₨4,575.8 ₨8,097 ₨4,495.4 4,435.6
Non-recurring
Other operating expenses ₨15,734.2 ₨8,928.2 ₨14,400.3 14,030.8
Total operating expenses ₨64,329.1 ₨57,601.8 ₨54,676.7 54,116.7
Operating income ₨7,635.4 ₨5,935.9 ₨6,947.9 8,054.3
Income from continuing operations
Net other income ₨15,734.2 ₨8,928.2 ₨14,400.3 14,030.8
EBIT
Interest expense -₨846.7 -₨884.6 -₨900 -855.4
Income before tax ₨7,629.1 ₨5,273.4 ₨6,824.1 7,906.1
Income tax expense ₨1,918.9 ₨1,312.3 ₨1,727 2,039.5
Minority interest 1.7 1.6
Net income from continuing ops
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items ₨6.3 -₨832.8 ₨123.8 148.2
Net income
Net income ₨5,710.2 ₨3,961 ₨5,097.1 5,866.6
Income (for common shares) ₨5,710.2 ₨3,961 ₨5,097.1 5,866.6
(in millions INR) 2024 2023 2022
Revenue
Total revenue ₨251,736.2 ₨230,150.2 171,667.8
Cost of revenue ₨153,830.8 ₨157,171.4 117,781
Gross profit ₨97,905.4 ₨72,978.8 53,886.8
Operating activities
Research & development
Selling, general & administrative ₨21,270.1 ₨18,868.7 11,851.6
Non-recurring
Other operating expenses ₨51,213.5 ₨45,301.9 82,398.6
Total operating expenses ₨222,832.2 ₨218,198.8 165,546.3
Operating income ₨28,904 11,951.4
Income from continuing operations
Net other income ₨51,213.5 ₨45,301.9 82,398.6
EBIT
Interest expense -₨3,482.2 -₨3,143.2 -2,265.4
Income before tax ₨27,874.2 ₨10,697.4 5,684.9
Income tax expense ₨7,061.9 ₨3,007.8 1,402
Minority interest ₨1.7 1.6
Net income from continuing ops
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items -₨465.5 264.1
Net income
Net income ₨20,812.2 ₨7,689.5 4,282.9
Income (for common shares) ₨20,812.2 ₨7,689.5 4,282.9
(in millions INR) 31 Mar 2022 30 Sep 2021 31 Mar 2021 30 Sep 2020
Net income ₨4,303.8 ₨4,775.5 ₨17,368.4 5,975.4
Operating activities
Depreciation ₨6,064.8 ₨5,985.7 ₨11,407.7 5,584.8
Net income adjustments
Change in accounts receivable
Changes in liabilities
Changes in inventory
Changes in other operating activities
Total cash flows from operations ₨2,485.9 -₨8,266.2 ₨43,245.8 24,157.8
Investing activities
Capital expenditures -₨11,211.7 -₨5,858.4 -₨8,527.4 -3,914.8
Investments
Other cash flows from investing ₨3,779.1 ₨14,941.1 -₨42,334.8 7,394.3
Total cash flows from investing -₨7,432.6 ₨9,082.7 -₨50,862.2 3,479.5
Financing activities
Dividends paid -₨25.3 -₨610.7 -₨424.1 -398.7
Sale and purchase of stock
Net borrowings ₨5,478.6 ₨1,752.9 ₨457.5 4,092.1
Other cash flows from financing -₨1,143 -₨1,214.9 -₨2,530.2 -1,357.9
Total cash flows from financing ₨4,310.3 -₨72.7 -₨2,496.8 2,335.5
Effect of exchange rate ₨7.4 ₨3.6 -3.5
Change in cash and equivalents -₨629 ₨747.4 -₨10,116.7 29,972.8
(in millions INR) 2024 2023 2022
Net income ₨20,812.2 ₨7,689.5 6,692.3
Operating activities
Depreciation ₨14,193.6 ₨12,443.2 11,952.2
Net income adjustments
Change in accounts receivable
Changes in liabilities
Changes in inventory
Changes in other operating activities
Total cash flows from operations ₨33,005 ₨27,554.7 -5,780.1
Investing activities
Capital expenditures -₨21,623.2 -₨32,912.4 -17,070.1
Investments
Other cash flows from investing -₨2,168.6 ₨13,677.7 18,746.4
Total cash flows from investing -₨23,791.8 -₨19,234.7 1,676.3
Financing activities
Dividends paid -₨742.2 -₨636.2 -636.2
Sale and purchase of stock
Net borrowings -₨5,058.9 -₨5,074.4 7,224.7
Other cash flows from financing -₨2,881.1 -₨2,684.8 -2,351.1
Total cash flows from financing -₨8,682.2 -₨8,395.4 4,237.4
Effect of exchange rate -₨198 -₨247 -618.9
Change in cash and equivalents ₨545.6 -₨58.8 144.6

Profit margin

Debt to assets

Cash flow

(in millions CHF) 29 Jun 2022 30 Mar 2022 30 Dec 2021 29 Sep 2021
Current assets
Cash CHF794 CHF794 CHF937.2 CHF937.2
Short term investments CHF0.3 CHF0.3 CHF250.3 CHF250.3
Net receivables CHF560.3 CHF560.3 CHF1,051.9 CHF1,051.9
Inventory CHF987.6 CHF987.6 CHF761.6 CHF761.6
Other current assets CHF19.2 CHF19.2 CHF23.8 CHF23.8
Total current assets CHF2,361.4 CHF2,361.4 CHF3,024.8 CHF3,024.8
Long term investments CHF2,041.7 CHF2,041.7 CHF0.3 CHF0.3
Property, plant & equipment CHF1,770.6 CHF1,770.6 CHF1,783.3 CHF1,783.3
Goodwill CHF731.8 CHF731.8
Intangible assets CHF1,352.8 CHF1,352.8 CHF577 CHF577
Other assets CHF178.1 CHF178.1 CHF2,838.9 CHF2,838.9
Deferred long term asset charges CHF178.1 CHF178.1 CHF185.6 CHF185.6
Total assets CHF7,704.6 CHF7,704.6 CHF8,956.1 CHF8,956.1
Current liabilities
Accounts payable CHF198.6 CHF198.6 CHF237.9 CHF237.9
Short long term debt
Other current liabilities CHF206 CHF206 CHF253.7 CHF253.7
Total current liabilities CHF1,262.9 CHF1,262.9 CHF1,485.7 CHF1,485.7
Long term debt CHF998.1 CHF998.1 CHF997.8 CHF997.8
Other liabilities CHF668.1 CHF668.1 CHF850.1 CHF850.1
Deferred long term liabilities
Minority interest
Total liabilities CHF3,314 CHF3,314 CHF3,732.5 CHF3,732.5
Stockholders' equity
Stock option warrants
Common stock CHF24.3 CHF24.3 CHF24.2 CHF24.2
Retained earnings CHF5,116 CHF5,116 CHF5,708.8 CHF5,708.8
Treasury stock -CHF1,167.3 -CHF1,167.3 -CHF874.2 -CHF874.2
Capital surplus CHF417.6 CHF417.6 CHF364.8 CHF364.8
Other stockholder equity -CHF401.6 -CHF401.6 -CHF413.6 -CHF413.6
Total stockholder equity CHF4,390.6 CHF4,390.6 CHF5,223.6 CHF5,223.6
Net tangible assets CHF3,037.8 CHF3,037.8 CHF3,914.8 CHF3,914.8
(in millions CHF) 2021 2020 2019
Current assets
Cash CHF937.2 CHF848.4 CHF654.8
Short term investments CHF250.3 CHF401.7 CHF405.2
Net receivables CHF1,051.9 CHF978.8 CHF1,133.7
Inventory CHF761.6 CHF701.5 CHF750.1
Other current assets CHF23.8 CHF23.5 CHF31.9
Total current assets CHF3,024.8 CHF2,953.9 CHF2,975.7
Long term investments CHF0.3 CHF1.1
Property, plant & equipment CHF1,783.3 CHF1,736 CHF1,773.6
Goodwill CHF731.8 CHF706.5 CHF763.1
Intangible assets CHF577 CHF594.4 CHF603.7
Other assets CHF2,838.9 CHF2,060.2 CHF1,923.6
Deferred long term asset charges CHF185.6 CHF162 CHF123
Total assets CHF8,956.1 CHF8,051 CHF8,040.8
Current liabilities
Accounts payable CHF237.9 CHF187.4 CHF233.9
Short long term debt CHF499.9
Other current liabilities CHF253.7 CHF275.5 CHF189.8
Total current liabilities CHF1,485.7 CHF1,280.3 CHF1,689.7
Long term debt CHF997.8 CHF997.4 CHF498.5
Other liabilities CHF850.1 CHF776.9 CHF770.8
Deferred long term liabilities
Minority interest CHF5.5 CHF10.4
Total liabilities CHF3,732.5 CHF3,444.7 CHF3,370.6
Stockholders' equity
Stock option warrants
Common stock CHF24.2 CHF24 CHF24.3
Retained earnings CHF5,708.8 CHF4,696 CHF4,982.2
Treasury stock -CHF874.2 -CHF453.6 -CHF672.1
Capital surplus CHF364.8 CHF334.4 CHF325.4
Other stockholder equity -CHF413.6 -CHF426.9 -CHF272.9
Total stockholder equity CHF5,223.6 CHF4,600.8 CHF4,659.8
Net tangible assets CHF3,914.8 CHF3,299.9 CHF3,293

Income statement

(in millions CHF) 29 Jun 2022 30 Mar 2022 30 Dec 2021 29 Sep 2021
Revenue
Total revenue CHF1,001.45 CHF1,001.45 CHF1,398.45 CHF1,398.45
Cost of revenue CHF313.75 CHF313.75 CHF461.85 CHF461.85
Gross profit CHF687.7 CHF687.7 CHF936.6 CHF936.6
Operating activities
Research & development
Selling, general & administrative CHF528.55 CHF528.55 CHF612 CHF612
Non-recurring
Other operating expenses
Total operating expenses CHF908.85 CHF908.85 CHF1,143.35 CHF1,143.35
Operating income CHF92.6 CHF92.6 CHF255.1 CHF255.1
Income from continuing operations
Net other income -CHF3.9 -CHF3.9 -CHF9.4 -CHF9.4
EBIT CHF92.6 CHF92.6 CHF255.1 CHF255.1
Interest expense -CHF6.35 -CHF6.35 -CHF7.55 -CHF7.55
Income before tax CHF88.7 CHF88.7 CHF245.7 CHF245.7
Income tax expense CHF19.5 CHF19.5 CHF51.25 CHF51.25
Minority interest
Net income from continuing ops CHF69.2 CHF69.2 CHF194.45 CHF194.45
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net income CHF69.2 CHF69.2 CHF194.45 CHF194.45
Income (for common shares) CHF69.2 CHF69.2 CHF194.45 CHF194.45
(in millions CHF) 2021 2020 2019
Revenue
Total revenue CHF4,611.4 CHF4,034.6 CHF4,524.7
Cost of revenue CHF1,518.1 CHF1,421.6 CHF1,514.5
Gross profit CHF3,093.3 CHF2,613 CHF3,010.2
Operating activities
Research & development
Selling, general & administrative CHF2,177.3 CHF1,921.3 CHF2,066.1
Non-recurring
Other operating expenses
Total operating expenses CHF3,962.4 CHF3,595.4 CHF3,845.9
Operating income CHF649 CHF439.2 CHF678.8
Income from continuing operations
Net other income -CHF27.3 -CHF45.1 -CHF117.7
EBIT CHF649 CHF439.2 CHF678.8
Interest expense -CHF25.4 -CHF27.6 -CHF35
Income before tax CHF621.7 CHF394.1 CHF561.1
Income tax expense CHF131.2 CHF74 CHF49.2
Minority interest CHF5.5 CHF10.4
Net income from continuing ops CHF490.5 CHF320.1 CHF511.9
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net income CHF490.5 CHF321.7 CHF509.6
Income (for common shares) CHF490.5 CHF321.7 CHF509.6
(in millions CHF) 29 Jun 2022 30 Mar 2022 30 Dec 2021 29 Sep 2021
Net income CHF69.2 CHF69.2 CHF194.45 CHF194.45
Operating activities
Depreciation CHF66.55 CHF66.55 CHF62.4 CHF62.4
Net income adjustments -CHF21.45 -CHF21.45 CHF36.05 CHF36.05
Change in accounts receivable CHF260.35 CHF260.35 -CHF269.45 -CHF269.45
Changes in liabilities -CHF19.2 -CHF19.2 CHF39.15 CHF39.15
Changes in inventory -CHF111.55 -CHF111.55 CHF29.2 CHF29.2
Changes in other operating activities -CHF81.2 -CHF81.2 CHF133.7 CHF133.7
Total cash flows from operations CHF162.7 CHF162.7 CHF232.6 CHF232.6
Investing activities
Capital expenditures -CHF52.4 -CHF52.4 -CHF44.25 -CHF44.25
Investments CHF125 CHF125 CHF125 CHF125
Other cash flows from investing -CHF0.1 -CHF0.1
Total cash flows from investing CHF64.8 CHF64.8 -CHF53 -CHF53
Financing activities
Dividends paid -CHF142.05 -CHF142.05 -CHF142.05 -CHF142.05
Sale and purchase of stock
Net borrowings -CHF22.25 -CHF22.25 -CHF25.85 -CHF25.85
Other cash flows from financing
Total cash flows from financing -CHF296.2 -CHF296.2 -CHF178.95 -CHF178.95
Effect of exchange rate -CHF2.9 -CHF2.9 -CHF5.2 -CHF5.2
Change in cash and equivalents -CHF71.6 -CHF71.6 -CHF4.55 -CHF4.55
(in millions CHF) 2021 2020 2019
Net income CHF490.5 CHF321.7 CHF509.6
Operating activities
Depreciation CHF252.8 CHF239.3 CHF254
Net income adjustments CHF30.9 CHF7.1 -CHF10.9
Change in accounts receivable -CHF73.2 CHF90.1 CHF34.9
Changes in liabilities CHF57.2 -CHF34.2 CHF15.5
Changes in inventory -CHF79.2 -CHF0.8 -CHF15.3
Changes in other operating activities CHF133.6 CHF151.2 CHF31.8
Total cash flows from operations CHF826.8 CHF787.6 CHF830.9
Investing activities
Capital expenditures -CHF217.1 -CHF225.9 -CHF209.4
Investments CHF151.1 CHF2.3 -CHF401.9
Other cash flows from investing -CHF0.2 -CHF0.2 -CHF0.2
Total cash flows from investing -CHF82.5 -CHF240.5 -CHF631.6
Financing activities
Dividends paid -CHF264.1 -CHF417.6 -CHF236.8
Sale and purchase of stock
Net borrowings -CHF60.9 -CHF67.9 -CHF74
Other cash flows from financing -CHF30.4 -CHF0.4 -CHF0.5
Total cash flows from financing -CHF655 -CHF340.1 -CHF535.6
Effect of exchange rate -CHF0.5 -CHF13.4 -CHF5
Change in cash and equivalents CHF88.8 CHF193.6 -CHF341.3