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TOSBF
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions JPY) | 29 Sep 2022 | 29 Jun 2022 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | ¥412,839 | ¥483,976 | |||
Short term investments | |||||
Net receivables | ¥831,508 | ¥788,540 | |||
Inventory | ¥632,373 | ¥617,614 | |||
Other current assets | ¥206,259 | ¥436,931 | |||
Total current assets | ¥2,082,979 | ¥2,327,061 | |||
Long term investments | ¥713,025 | ¥678,250 | |||
Property, plant & equipment | ¥581,125 | ¥574,461 | |||
Goodwill | |||||
Intangible assets | ¥164,920 | ¥167,521 | |||
Other assets | ¥96,734 | ¥94,179 | |||
Deferred long term asset charges | ¥96,734 | ¥94,179 | |||
Total assets | ¥3,638,783 | ¥3,841,472 | |||
Current liabilities | |||||
Accounts payable | ¥731,529 | ¥756,561 | |||
Short long term debt | ¥94,240 | ¥94,500 | |||
Other current liabilities | ¥607,130 | ¥716,092 | |||
Total current liabilities | ¥1,478,431 | ¥1,613,017 | |||
Long term debt | ¥288,850 | ¥289,310 | |||
Other liabilities | ¥453,365 | ¥477,953 | |||
Deferred long term liabilities | |||||
Minority interest | ¥107,629 | ¥170,939 | |||
Total liabilities | ¥2,285,320 | ¥2,448,800 | |||
Stockholders' equity | |||||
Stock option warrants | |||||
Common stock | ¥200,869 | ¥200,869 | |||
Retained earnings | ¥1,119,187 | ¥1,113,642 | |||
Treasury stock | -¥74,226 | -¥92,778 | |||
Capital surplus | ¥4 | ||||
Other stockholder equity | -¥71,919 | -¥90,498 | |||
Total stockholder equity | ¥1,245,834 | ¥1,221,733 | |||
Net tangible assets | ¥1,080,914 | ¥1,054,212 |
(in millions JPY) | 2022 | 2021 | ||
---|---|---|---|---|
Current assets | ||||
Cash | ¥421,219 | ¥525,456 | ||
Short term investments | ||||
Net receivables | ¥920,584 | ¥985,499 | ||
Inventory | ¥531,788 | ¥475,765 | ||
Other current assets | ¥2,031 | ¥873 | ||
Total current assets | ¥2,266,041 | ¥2,130,908 | ||
Long term investments | ¥558,446 | ¥529,797 | ||
Property, plant & equipment | ¥565,353 | ¥575,442 | ||
Goodwill | ¥66,576 | ¥58,692 | ||
Intangible assets | ¥91,784 | ¥70,064 | ||
Other assets | ¥186,319 | ¥135,733 | ||
Deferred long term asset charges | ¥86,146 | ¥79,585 | ||
Total assets | ¥3,734,519 | ¥3,500,636 | ||
Current liabilities | ||||
Accounts payable | ¥482,266 | ¥481,877 | ||
Short long term debt | ¥60,704 | ¥5,601 | ||
Other current liabilities | ¥915,383 | ¥718,259 | ||
Total current liabilities | ¥1,509,867 | ¥1,254,881 | ||
Long term debt | ¥310,995 | ¥367,304 | ||
Other liabilities | ¥467,569 | ¥477,474 | ||
Deferred long term liabilities | ||||
Minority interest | ¥160,030 | ¥139,996 | ||
Total liabilities | ¥2,367,855 | ¥2,196,106 | ||
Stockholders' equity | ||||
Stock option warrants | ||||
Common stock | ¥200,869 | ¥200,558 | ||
Retained earnings | ¥1,118,039 | ¥1,127,130 | ||
Treasury stock | -¥112,274 | -¥163,361 | ||
Capital surplus | ¥207 | |||
Other stockholder equity | -¥110,011 | -¥158,307 | ||
Total stockholder equity | ¥1,206,634 | ¥1,164,534 | ||
Net tangible assets | ¥1,048,274 | ¥1,035,778 |
Income statement
(in millions JPY) | 29 Sep 2022 | 29 Jun 2022 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | ¥854,562 | ¥740,650 | |||
Cost of revenue | ¥639,033 | ¥556,698 | |||
Gross profit | ¥215,529 | ¥183,952 | |||
Operating activities | |||||
Research & development | |||||
Selling, general & administrative | ¥207,983 | ¥188,760 | |||
Non-recurring | |||||
Other operating expenses | |||||
Total operating expenses | ¥847,016 | ¥745,458 | |||
Operating income | ¥7,546 | -¥4,808 | |||
Income from continuing operations | |||||
Net other income | ¥81,247 | ¥46,522 | |||
EBIT | ¥7,546 | -¥4,808 | |||
Interest expense | -¥1,182 | -¥1,350 | |||
Income before tax | ¥88,793 | ¥41,714 | |||
Income tax expense | ¥14,398 | ¥5,557 | |||
Minority interest | ¥107,629 | ¥170,939 | |||
Net income from continuing ops | ¥74,395 | ¥36,157 | |||
Non-recurring events | |||||
Discontinued operations | |||||
Extraordinary items | |||||
Effect of accounting change | |||||
Other items | |||||
Net income | |||||
Net income | ¥74,768 | ¥25,893 | |||
Income (for common shares) | ¥74,768 | ¥25,893 |
(in millions JPY) | 2022 | 2021 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | ¥3,387,684 | ¥3,137,806 | ||
Cost of revenue | ¥2,405,821 | ¥2,182,554 | ||
Gross profit | ¥981,863 | ¥955,252 | ||
Operating activities | ||||
Research & development | ||||
Selling, general & administrative | ¥772,201 | ¥764,166 | ||
Non-recurring | ||||
Other operating expenses | ¥124,636 | ¥41,239 | ||
Total operating expenses | ¥3,302,658 | ¥2,987,959 | ||
Operating income | ¥85,026 | ¥149,847 | ||
Income from continuing operations | ||||
Net other income | ¥154,079 | ¥3,641 | ||
EBIT | ¥85,026 | ¥149,847 | ||
Interest expense | -¥4,366 | -¥4,549 | ||
Income before tax | ¥239,105 | ¥153,488 | ||
Income tax expense | ¥24,845 | ¥13,759 | ||
Minority interest | ¥160,030 | ¥139,996 | ||
Net income from continuing ops | ¥214,260 | ¥139,729 | ||
Non-recurring events | ||||
Discontinued operations | -¥7,728 | |||
Extraordinary items | ||||
Effect of accounting change | ||||
Other items | ||||
Net income | ||||
Net income | ¥194,651 | ¥113,981 | ||
Income (for common shares) | ¥194,651 | ¥113,981 |
Cash flows
(in millions JPY) | 29 Sep 2022 | 29 Jun 2022 | |||
---|---|---|---|---|---|
Net income | ¥74,768 | ¥25,893 | |||
Operating activities | |||||
Depreciation | ¥23,589 | ¥22,065 | |||
Net income adjustments | -¥63,852 | -¥46,053 | |||
Change in accounts receivable | -¥46,225 | ¥180,598 | |||
Changes in liabilities | -¥519 | -¥32,855 | |||
Changes in inventory | -¥8,417 | -¥71,845 | |||
Changes in other operating activities | -¥71,989 | ¥22,981 | |||
Total cash flows from operations | -¥93,018 | ¥111,048 | |||
Investing activities | |||||
Capital expenditures | -¥31,038 | -¥28,266 | |||
Investments | -¥327 | ¥6 | |||
Other cash flows from investing | ¥29,676 | ¥10,752 | |||
Total cash flows from investing | ¥75,171 | -¥17,442 | |||
Financing activities | |||||
Dividends paid | -¥74,761 | -¥31,164 | |||
Sale and purchase of stock | |||||
Net borrowings | -¥1,784 | -¥4,090 | |||
Other cash flows from financing | -¥1 | -¥5 | |||
Total cash flows from financing | -¥76,573 | -¥35,276 | |||
Effect of exchange rate | -¥1,302 | ¥7,333 | |||
Change in cash and equivalents | -¥71,137 | ¥41,078 |
(in millions JPY) | 2022 | 2021 | ||
---|---|---|---|---|
Net income | ¥194,651 | ¥113,981 | ||
Operating activities | ||||
Depreciation | ¥85,157 | ¥85,211 | ||
Net income adjustments | -¥63,590 | -¥8,391 | ||
Change in accounts receivable | -¥2,655 | ¥71,619 | ||
Changes in liabilities | ¥24,211 | -¥9,796 | ||
Changes in inventory | -¥73,857 | ¥11,414 | ||
Changes in other operating activities | ¥93,086 | -¥103,875 | ||
Total cash flows from operations | ¥249,244 | ¥145,145 | ||
Investing activities | ||||
Capital expenditures | -¥94,779 | -¥117,461 | ||
Investments | ¥3,751 | ¥2,828 | ||
Other cash flows from investing | -¥7,672 | ¥25,594 | ||
Total cash flows from investing | -¥124,521 | -¥106,671 | ||
Financing activities | ||||
Dividends paid | -¥109,429 | -¥21,293 | ||
Sale and purchase of stock | ||||
Net borrowings | -¥3,346 | ¥152,858 | ||
Other cash flows from financing | -¥3,891 | -¥33,707 | ||
Total cash flows from financing | -¥216,832 | ¥97,811 | ||
Effect of exchange rate | ¥9,551 | ¥12,198 | ||
Change in cash and equivalents | -¥104,237 | ¥148,483 |
Quarterly EPS estimates
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions USD) | 29 Sep 2022 | 29 Jun 2022 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | $32,626 | $30,608 | |||
Short term investments | $76,332 | $74,803 | |||
Net receivables | $45,368 | $44,493 | |||
Inventory | $25,102 | $24,560 | |||
Total current assets | $180,889 | $175,749 | |||
Long term investments | $353,483 | $366,292 | |||
Property, plant & equipment | $192,989 | $192,413 | |||
Goodwill & intangible assets | |||||
Total noncurrent assets | |||||
Total investments | |||||
Total assets | $902,296 | $909,860 | |||
Current liabilities | |||||
Accounts payable | $47,710 | $46,963 | |||
Deferred revenue | |||||
Short long term debt | |||||
Total current liabilities | $123,941 | $127,089 | |||
Long term debt | $114,681 | $116,840 | |||
Total noncurrent liabilities | |||||
Total debt | |||||
Total liabilities | $438,549 | $440,207 | |||
Stockholders' equity | |||||
Retained earnings | $493,438 | $496,126 | |||
Other stockholder equity | -$8,234 | -$6,175 | |||
Total stockholder equity | $455,430 | $461,229 |
(in millions USD) | 2021 | 2020 | ||
---|---|---|---|---|
Current assets | ||||
Cash | $88,184 | $47,990 | ||
Short term investments | $58,535 | $90,300 | ||
Net receivables | $39,565 | $35,852 | ||
Inventory | $20,954 | $19,208 | ||
Total current assets | $208,089 | $194,026 | ||
Long term investments | $384,528 | $318,883 | ||
Property, plant & equipment | $196,373 | $192,596 | ||
Goodwill & intangible assets | ||||
Total noncurrent assets | ||||
Total investments | ||||
Total assets | $958,784 | $873,729 | ||
Current liabilities | ||||
Accounts payable | $40,804 | $39,978 | ||
Deferred revenue | ||||
Short long term debt | $6,139 | |||
Total current liabilities | $51,373 | $45,626 | ||
Long term debt | $105,772 | $113,547 | ||
Total noncurrent liabilities | ||||
Total debt | ||||
Total liabilities | $443,854 | $422,393 | ||
Stockholders' equity | ||||
Retained earnings | $534,421 | $444,626 | ||
Other stockholder equity | -$4,027 | -$4,243 | ||
Total stockholder equity | $506,199 | $443,164 |
Income statement
(in millions USD) | 29 Sep 2022 | 29 Jun 2022 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | $76,934 | $76,180 | |||
Cost of revenue | $80,400 | $130,806 | |||
Gross profit | -$3,466 | -$54,626 | |||
Operating activities | |||||
Research & development | |||||
Selling, general & administrative | |||||
Total operating expenses | $80,400 | $130,806 | |||
Operating income | -$3,466 | -$54,626 | |||
Income from continuing operations | |||||
EBIT | -$3,466 | -$54,626 | |||
Income tax expense | -$1,529 | -$12,106 | |||
Interest expense | -$1,092 | -$1,087 | |||
Net income | |||||
Net income | -$2,688 | -$43,755 | |||
Income (for common shares) | -$2,688 | -$43,755 |
(in millions USD) | 2021 | 2020 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | $276,094 | $245,510 | ||
Cost of revenue | $161,231 | $175,789 | ||
Gross profit | $114,863 | $69,721 | ||
Operating activities | ||||
Research & development | ||||
Selling, general & administrative | ||||
Total operating expenses | $161,231 | $175,789 | ||
Operating income | $114,863 | $69,721 | ||
Income from continuing operations | ||||
EBIT | $114,863 | $69,721 | ||
Income tax expense | $20,879 | $12,440 | ||
Interest expense | -$4,172 | -$4,083 | ||
Net income | ||||
Net income | $89,795 | $42,521 | ||
Income (for common shares) | $89,795 | $42,521 |
Cash flows
(in millions USD) | 29 Sep 2022 | 29 Jun 2022 | |||
---|---|---|---|---|---|
Net income | -$2,688 | -$43,755 | |||
Operating activities | |||||
Depreciation | $2,728 | $2,710 | |||
Business acquisitions & disposals | |||||
Stock-based compensation | |||||
Total cash flows from operations | $11,662 | $8,532 | |||
Investing activities | |||||
Capital expenditures | -$4,074 | -$3,743 | |||
Investments | -$3,490 | -$11,487 | |||
Total cash flows from investing | -$7,336 | -$15,607 | |||
Financing activities | |||||
Dividends paid | |||||
Sale and purchase of stock | |||||
Net borrowings | -$886 | $1,072 | |||
Total cash flows from financing | -$1,918 | -$1,036 | |||
Effect of exchange rate | -$276 | -$327 | |||
Change in cash and equivalents | $2,132 | -$8,438 |
(in millions USD) | 2021 | 2020 | ||
---|---|---|---|---|
Net income | $89,795 | $42,521 | ||
Operating activities | ||||
Depreciation | $10,718 | $10,596 | ||
Business acquisitions & disposals | ||||
Stock-based compensation | ||||
Total cash flows from operations | $39,421 | $39,773 | ||
Investing activities | ||||
Capital expenditures | -$13,276 | -$13,012 | ||
Investments | $42,354 | -$18,252 | ||
Total cash flows from investing | $29,392 | -$37,757 | ||
Financing activities | ||||
Dividends paid | ||||
Sale and purchase of stock | ||||
Net borrowings | -$752 | $6,791 | ||
Total cash flows from financing | -$28,508 | -$18,344 | ||
Effect of exchange rate | $5 | $92 | ||
Change in cash and equivalents | $40,310 | -$16,236 |
MRF
Quarterly EPS estimates
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions INR) | 31 Mar 2024 | 30 Sep 2023 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | ₨3,030.7 | ₨3,333.8 | |||
Short term investments | ₨1,815.2 | ₨20,880.7 | |||
Net receivables | ₨29,607.1 | ₨28,449.5 | |||
Inventory | ₨44,685.8 | ₨40,519.3 | |||
Other current assets | ₨3,203.8 | ₨4,705.6 | |||
Total current assets | ₨105,495.5 | ₨97,888.9 | |||
Long term investments | ₨11,237.4 | ₨11,201.5 | |||
Property, plant & equipment | ₨144,050.1 | ₨141,277.1 | |||
Goodwill | |||||
Intangible assets | ₨257.4 | ₨261.1 | |||
Other assets | ₨7,412.2 | ₨7,457.1 | |||
Deferred long term asset charges | |||||
Total assets | ₨268,494.3 | ₨258,090.4 | |||
Current liabilities | |||||
Accounts payable | ₨26,527.8 | ₨24,275.6 | |||
Short long term debt | ₨14,422 | ₨17,871.5 | |||
Other current liabilities | ₨28,720.4 | ₨34,885.7 | |||
Total current liabilities | ₨77,100.3 | ₨77,032.8 | |||
Long term debt | ₨13,793 | ₨13,481.7 | |||
Other liabilities | -₨24,876 | ₨4,973.9 | |||
Deferred long term liabilities | |||||
Minority interest | ₨1.7 | ₨1.6 | |||
Total liabilities | ₨101,462.7 | ₨99,778 | |||
Stockholders' equity | |||||
Stock option warrants | |||||
Common stock | ₨42.4 | ₨42.4 | |||
Retained earnings | ₨167,848.5 | ||||
Treasury stock | |||||
Capital surplus | |||||
Other stockholder equity | -₨953.5 | ₨158,270 | |||
Total stockholder equity | ₨158,312.4 | ||||
Net tangible assets |
(in millions INR) | 2024 | 2023 | ||
---|---|---|---|---|
Current assets | ||||
Cash | ₨3,030.7 | ₨2,485.1 | ||
Short term investments | ₨1,815.2 | ₨20,797 | ||
Net receivables | ₨29,607.1 | ₨25,482.5 | ||
Inventory | ₨44,685.8 | ₨41,410.5 | ||
Other current assets | ₨3,203.8 | ₨2,850.1 | ||
Total current assets | ₨105,495.5 | ₨92,436.8 | ||
Long term investments | ₨11,237.4 | ₨11,129.9 | ||
Property, plant & equipment | ₨144,050.1 | ₨131,378.9 | ||
Goodwill | ||||
Intangible assets | ₨257.4 | ₨259.4 | ||
Other assets | ₨7,412.2 | ₨8,476.3 | ||
Deferred long term asset charges | ||||
Total assets | ₨268,494.3 | ₨243,694.1 | ||
Current liabilities | ||||
Accounts payable | ₨26,527.8 | ₨24,357.7 | ||
Short long term debt | ₨14,422 | ₨16,814.1 | ||
Other current liabilities | ₨28,720.4 | ₨26,792.5 | ||
Total current liabilities | ₨77,100.3 | ₨74,953.2 | ||
Long term debt | ₨13,793 | ₨13,322 | ||
Other liabilities | -₨24,876 | -₨31,881.1 | ||
Deferred long term liabilities | ||||
Minority interest | ₨1.7 | ₨1.6 | ||
Total liabilities | ₨101,462.7 | ₨96,615.9 | ||
Stockholders' equity | ||||
Stock option warrants | ||||
Common stock | ₨42.4 | ₨42.4 | ||
Retained earnings | ₨167,848.5 | ₨147,778.7 | ||
Treasury stock | ||||
Capital surplus | ||||
Other stockholder equity | -₨953.5 | -₨837.1 | ||
Total stockholder equity | ₨167,031.6 | ₨147,078.2 | ||
Net tangible assets |
Income statement
(in millions INR) | 30 Jun 2024 | 31 Mar 2024 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | ₨71,964.5 | ₨63,537.7 | |||
Cost of revenue | ₨44,865.8 | ₨41,461.2 | |||
Gross profit | ₨27,098.7 | ₨22,076.5 | |||
Operating activities | |||||
Research & development | |||||
Selling, general & administrative | ₨4,575.8 | ₨8,097 | |||
Non-recurring | |||||
Other operating expenses | ₨15,734.2 | ₨8,928.2 | |||
Total operating expenses | ₨64,329.1 | ₨57,601.8 | |||
Operating income | ₨7,635.4 | ₨5,935.9 | |||
Income from continuing operations | |||||
Net other income | ₨15,734.2 | ₨8,928.2 | |||
EBIT | |||||
Interest expense | -₨846.7 | -₨884.6 | |||
Income before tax | ₨7,629.1 | ₨5,273.4 | |||
Income tax expense | ₨1,918.9 | ₨1,312.3 | |||
Minority interest | ₨1.7 | ||||
Net income from continuing ops | |||||
Non-recurring events | |||||
Discontinued operations | |||||
Extraordinary items | |||||
Effect of accounting change | |||||
Other items | ₨6.3 | -₨832.8 | |||
Net income | |||||
Net income | ₨5,710.2 | ₨3,961 | |||
Income (for common shares) | ₨5,710.2 | ₨3,961 |
(in millions INR) | 2024 | 2023 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | ₨251,736.2 | ₨230,150.2 | ||
Cost of revenue | ₨153,830.8 | ₨157,171.4 | ||
Gross profit | ₨97,905.4 | ₨72,978.8 | ||
Operating activities | ||||
Research & development | ||||
Selling, general & administrative | ₨21,270.1 | ₨18,868.7 | ||
Non-recurring | ||||
Other operating expenses | ₨51,213.5 | ₨45,301.9 | ||
Total operating expenses | ₨222,832.2 | ₨218,198.8 | ||
Operating income | ₨28,904 | ₨11,951.4 | ||
Income from continuing operations | ||||
Net other income | ₨51,213.5 | ₨45,301.9 | ||
EBIT | ||||
Interest expense | -₨3,482.2 | -₨3,143.2 | ||
Income before tax | ₨27,874.2 | ₨10,697.4 | ||
Income tax expense | ₨7,061.9 | ₨3,007.8 | ||
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 | ||
Income (for common shares) | ₨20,812.2 | ₨7,689.5 |
Cash flows
(in millions INR) | 31 Mar 2022 | 30 Sep 2021 | |||
---|---|---|---|---|---|
Net income | ₨4,303.8 | ₨4,775.5 | |||
Operating activities | |||||
Depreciation | ₨6,064.8 | ₨5,985.7 | |||
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 | |||
Investing activities | |||||
Capital expenditures | -₨11,211.7 | -₨5,858.4 | |||
Investments | |||||
Other cash flows from investing | ₨3,779.1 | ₨14,941.1 | |||
Total cash flows from investing | -₨7,432.6 | ₨9,082.7 | |||
Financing activities | |||||
Dividends paid | -₨25.3 | -₨610.7 | |||
Sale and purchase of stock | |||||
Net borrowings | ₨5,478.6 | ₨1,752.9 | |||
Other cash flows from financing | -₨1,143 | -₨1,214.9 | |||
Total cash flows from financing | ₨4,310.3 | -₨72.7 | |||
Effect of exchange rate | ₨7.4 | ₨3.6 | |||
Change in cash and equivalents | -₨629 | ₨747.4 |
(in millions INR) | 2024 | 2023 | ||
---|---|---|---|---|
Net income | ₨20,812.2 | ₨7,689.5 | ||
Operating activities | ||||
Depreciation | ₨14,193.6 | ₨12,443.2 | ||
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 | ||
Investing activities | ||||
Capital expenditures | -₨21,623.2 | -₨32,912.4 | ||
Investments | ||||
Other cash flows from investing | -₨2,168.6 | ₨13,677.7 | ||
Total cash flows from investing | -₨23,791.8 | -₨19,234.7 | ||
Financing activities | ||||
Dividends paid | -₨742.2 | -₨636.2 | ||
Sale and purchase of stock | ||||
Net borrowings | -₨5,058.9 | -₨5,074.4 | ||
Other cash flows from financing | -₨2,881.1 | -₨2,684.8 | ||
Total cash flows from financing | -₨8,682.2 | -₨8,395.4 | ||
Effect of exchange rate | -₨198 | -₨247 | ||
Change in cash and equivalents | ₨545.6 | -₨58.8 |
MRF
Quarterly EPS estimates
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions INR) | 31 Mar 2024 | 30 Sep 2023 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | ₨3,030.7 | ₨3,333.8 | |||
Short term investments | ₨1,815.2 | ₨20,880.7 | |||
Net receivables | ₨29,607.1 | ₨28,449.5 | |||
Inventory | ₨44,685.8 | ₨40,519.3 | |||
Other current assets | ₨3,203.8 | ₨4,705.6 | |||
Total current assets | ₨105,495.5 | ₨97,888.9 | |||
Long term investments | ₨11,237.4 | ₨11,201.5 | |||
Property, plant & equipment | ₨144,050.1 | ₨141,277.1 | |||
Goodwill | |||||
Intangible assets | ₨257.4 | ₨261.1 | |||
Other assets | ₨7,412.2 | ₨7,457.1 | |||
Deferred long term asset charges | |||||
Total assets | ₨268,494.3 | ₨258,090.4 | |||
Current liabilities | |||||
Accounts payable | ₨26,527.8 | ₨24,275.6 | |||
Short long term debt | ₨14,422 | ₨17,871.5 | |||
Other current liabilities | ₨28,720.4 | ₨34,885.7 | |||
Total current liabilities | ₨77,100.3 | ₨77,032.8 | |||
Long term debt | ₨13,793 | ₨13,481.7 | |||
Other liabilities | -₨24,876 | ₨4,973.9 | |||
Deferred long term liabilities | |||||
Minority interest | ₨1.7 | ₨1.6 | |||
Total liabilities | ₨101,462.7 | ₨99,778 | |||
Stockholders' equity | |||||
Stock option warrants | |||||
Common stock | ₨42.4 | ₨42.4 | |||
Retained earnings | ₨167,848.5 | ||||
Treasury stock | |||||
Capital surplus | |||||
Other stockholder equity | -₨953.5 | ₨158,270 | |||
Total stockholder equity | ₨158,312.4 | ||||
Net tangible assets |
(in millions INR) | 2024 | 2023 | ||
---|---|---|---|---|
Current assets | ||||
Cash | ₨3,030.7 | ₨2,485.1 | ||
Short term investments | ₨1,815.2 | ₨20,797 | ||
Net receivables | ₨29,607.1 | ₨25,482.5 | ||
Inventory | ₨44,685.8 | ₨41,410.5 | ||
Other current assets | ₨3,203.8 | ₨2,850.1 | ||
Total current assets | ₨105,495.5 | ₨92,436.8 | ||
Long term investments | ₨11,237.4 | ₨11,129.9 | ||
Property, plant & equipment | ₨144,050.1 | ₨131,378.9 | ||
Goodwill | ||||
Intangible assets | ₨257.4 | ₨259.4 | ||
Other assets | ₨7,412.2 | ₨8,476.3 | ||
Deferred long term asset charges | ||||
Total assets | ₨268,494.3 | ₨243,694.1 | ||
Current liabilities | ||||
Accounts payable | ₨26,527.8 | ₨24,357.7 | ||
Short long term debt | ₨14,422 | ₨16,814.1 | ||
Other current liabilities | ₨28,720.4 | ₨26,792.5 | ||
Total current liabilities | ₨77,100.3 | ₨74,953.2 | ||
Long term debt | ₨13,793 | ₨13,322 | ||
Other liabilities | -₨24,876 | -₨31,881.1 | ||
Deferred long term liabilities | ||||
Minority interest | ₨1.7 | ₨1.6 | ||
Total liabilities | ₨101,462.7 | ₨96,615.9 | ||
Stockholders' equity | ||||
Stock option warrants | ||||
Common stock | ₨42.4 | ₨42.4 | ||
Retained earnings | ₨167,848.5 | ₨147,778.7 | ||
Treasury stock | ||||
Capital surplus | ||||
Other stockholder equity | -₨953.5 | -₨837.1 | ||
Total stockholder equity | ₨167,031.6 | ₨147,078.2 | ||
Net tangible assets |
Income statement
(in millions INR) | 30 Jun 2024 | 31 Mar 2024 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | ₨71,964.5 | ₨63,537.7 | |||
Cost of revenue | ₨44,865.8 | ₨41,461.2 | |||
Gross profit | ₨27,098.7 | ₨22,076.5 | |||
Operating activities | |||||
Research & development | |||||
Selling, general & administrative | ₨4,575.8 | ₨8,097 | |||
Non-recurring | |||||
Other operating expenses | ₨15,734.2 | ₨8,928.2 | |||
Total operating expenses | ₨64,329.1 | ₨57,601.8 | |||
Operating income | ₨7,635.4 | ₨5,935.9 | |||
Income from continuing operations | |||||
Net other income | ₨15,734.2 | ₨8,928.2 | |||
EBIT | |||||
Interest expense | -₨846.7 | -₨884.6 | |||
Income before tax | ₨7,629.1 | ₨5,273.4 | |||
Income tax expense | ₨1,918.9 | ₨1,312.3 | |||
Minority interest | ₨1.7 | ||||
Net income from continuing ops | |||||
Non-recurring events | |||||
Discontinued operations | |||||
Extraordinary items | |||||
Effect of accounting change | |||||
Other items | ₨6.3 | -₨832.8 | |||
Net income | |||||
Net income | ₨5,710.2 | ₨3,961 | |||
Income (for common shares) | ₨5,710.2 | ₨3,961 |
(in millions INR) | 2024 | 2023 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | ₨251,736.2 | ₨230,150.2 | ||
Cost of revenue | ₨153,830.8 | ₨157,171.4 | ||
Gross profit | ₨97,905.4 | ₨72,978.8 | ||
Operating activities | ||||
Research & development | ||||
Selling, general & administrative | ₨21,270.1 | ₨18,868.7 | ||
Non-recurring | ||||
Other operating expenses | ₨51,213.5 | ₨45,301.9 | ||
Total operating expenses | ₨222,832.2 | ₨218,198.8 | ||
Operating income | ₨28,904 | ₨11,951.4 | ||
Income from continuing operations | ||||
Net other income | ₨51,213.5 | ₨45,301.9 | ||
EBIT | ||||
Interest expense | -₨3,482.2 | -₨3,143.2 | ||
Income before tax | ₨27,874.2 | ₨10,697.4 | ||
Income tax expense | ₨7,061.9 | ₨3,007.8 | ||
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 | ||
Income (for common shares) | ₨20,812.2 | ₨7,689.5 |
Cash flows
(in millions INR) | 31 Mar 2022 | 30 Sep 2021 | |||
---|---|---|---|---|---|
Net income | ₨4,303.8 | ₨4,775.5 | |||
Operating activities | |||||
Depreciation | ₨6,064.8 | ₨5,985.7 | |||
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 | |||
Investing activities | |||||
Capital expenditures | -₨11,211.7 | -₨5,858.4 | |||
Investments | |||||
Other cash flows from investing | ₨3,779.1 | ₨14,941.1 | |||
Total cash flows from investing | -₨7,432.6 | ₨9,082.7 | |||
Financing activities | |||||
Dividends paid | -₨25.3 | -₨610.7 | |||
Sale and purchase of stock | |||||
Net borrowings | ₨5,478.6 | ₨1,752.9 | |||
Other cash flows from financing | -₨1,143 | -₨1,214.9 | |||
Total cash flows from financing | ₨4,310.3 | -₨72.7 | |||
Effect of exchange rate | ₨7.4 | ₨3.6 | |||
Change in cash and equivalents | -₨629 | ₨747.4 |
(in millions INR) | 2024 | 2023 | ||
---|---|---|---|---|
Net income | ₨20,812.2 | ₨7,689.5 | ||
Operating activities | ||||
Depreciation | ₨14,193.6 | ₨12,443.2 | ||
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 | ||
Investing activities | ||||
Capital expenditures | -₨21,623.2 | -₨32,912.4 | ||
Investments | ||||
Other cash flows from investing | -₨2,168.6 | ₨13,677.7 | ||
Total cash flows from investing | -₨23,791.8 | -₨19,234.7 | ||
Financing activities | ||||
Dividends paid | -₨742.2 | -₨636.2 | ||
Sale and purchase of stock | ||||
Net borrowings | -₨5,058.9 | -₨5,074.4 | ||
Other cash flows from financing | -₨2,881.1 | -₨2,684.8 | ||
Total cash flows from financing | -₨8,682.2 | -₨8,395.4 | ||
Effect of exchange rate | -₨198 | -₨247 | ||
Change in cash and equivalents | ₨545.6 | -₨58.8 |
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions CHF) | 29 Jun 2022 | 30 Mar 2022 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | CHF794 | CHF794 | |||
Short term investments | CHF0.3 | CHF0.3 | |||
Net receivables | CHF560.3 | CHF560.3 | |||
Inventory | CHF987.6 | CHF987.6 | |||
Other current assets | CHF19.2 | CHF19.2 | |||
Total current assets | CHF2,361.4 | CHF2,361.4 | |||
Long term investments | CHF2,041.7 | CHF2,041.7 | |||
Property, plant & equipment | CHF1,770.6 | CHF1,770.6 | |||
Goodwill | |||||
Intangible assets | CHF1,352.8 | CHF1,352.8 | |||
Other assets | CHF178.1 | CHF178.1 | |||
Deferred long term asset charges | CHF178.1 | CHF178.1 | |||
Total assets | CHF7,704.6 | CHF7,704.6 | |||
Current liabilities | |||||
Accounts payable | CHF198.6 | CHF198.6 | |||
Short long term debt | |||||
Other current liabilities | CHF206 | CHF206 | |||
Total current liabilities | CHF1,262.9 | CHF1,262.9 | |||
Long term debt | CHF998.1 | CHF998.1 | |||
Other liabilities | CHF668.1 | CHF668.1 | |||
Deferred long term liabilities | |||||
Minority interest | |||||
Total liabilities | CHF3,314 | CHF3,314 | |||
Stockholders' equity | |||||
Stock option warrants | |||||
Common stock | CHF24.3 | CHF24.3 | |||
Retained earnings | CHF5,116 | CHF5,116 | |||
Treasury stock | -CHF1,167.3 | -CHF1,167.3 | |||
Capital surplus | CHF417.6 | CHF417.6 | |||
Other stockholder equity | -CHF401.6 | -CHF401.6 | |||
Total stockholder equity | CHF4,390.6 | CHF4,390.6 | |||
Net tangible assets | CHF3,037.8 | CHF3,037.8 |
(in millions CHF) | 2021 | 2020 | ||
---|---|---|---|---|
Current assets | ||||
Cash | CHF937.2 | CHF848.4 | ||
Short term investments | CHF250.3 | CHF401.7 | ||
Net receivables | CHF1,051.9 | CHF978.8 | ||
Inventory | CHF761.6 | CHF701.5 | ||
Other current assets | CHF23.8 | CHF23.5 | ||
Total current assets | CHF3,024.8 | CHF2,953.9 | ||
Long term investments | CHF0.3 | |||
Property, plant & equipment | CHF1,783.3 | CHF1,736 | ||
Goodwill | CHF731.8 | CHF706.5 | ||
Intangible assets | CHF577 | CHF594.4 | ||
Other assets | CHF2,838.9 | CHF2,060.2 | ||
Deferred long term asset charges | CHF185.6 | CHF162 | ||
Total assets | CHF8,956.1 | CHF8,051 | ||
Current liabilities | ||||
Accounts payable | CHF237.9 | CHF187.4 | ||
Short long term debt | ||||
Other current liabilities | CHF253.7 | CHF275.5 | ||
Total current liabilities | CHF1,485.7 | CHF1,280.3 | ||
Long term debt | CHF997.8 | CHF997.4 | ||
Other liabilities | CHF850.1 | CHF776.9 | ||
Deferred long term liabilities | ||||
Minority interest | CHF5.5 | |||
Total liabilities | CHF3,732.5 | CHF3,444.7 | ||
Stockholders' equity | ||||
Stock option warrants | ||||
Common stock | CHF24.2 | CHF24 | ||
Retained earnings | CHF5,708.8 | CHF4,696 | ||
Treasury stock | -CHF874.2 | -CHF453.6 | ||
Capital surplus | CHF364.8 | CHF334.4 | ||
Other stockholder equity | -CHF413.6 | -CHF426.9 | ||
Total stockholder equity | CHF5,223.6 | CHF4,600.8 | ||
Net tangible assets | CHF3,914.8 | CHF3,299.9 |
Income statement
(in millions CHF) | 29 Jun 2022 | 30 Mar 2022 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | CHF1,001.45 | CHF1,001.45 | |||
Cost of revenue | CHF313.75 | CHF313.75 | |||
Gross profit | CHF687.7 | CHF687.7 | |||
Operating activities | |||||
Research & development | |||||
Selling, general & administrative | CHF528.55 | CHF528.55 | |||
Non-recurring | |||||
Other operating expenses | |||||
Total operating expenses | CHF908.85 | CHF908.85 | |||
Operating income | CHF92.6 | CHF92.6 | |||
Income from continuing operations | |||||
Net other income | -CHF3.9 | -CHF3.9 | |||
EBIT | CHF92.6 | CHF92.6 | |||
Interest expense | -CHF6.35 | -CHF6.35 | |||
Income before tax | CHF88.7 | CHF88.7 | |||
Income tax expense | CHF19.5 | CHF19.5 | |||
Minority interest | |||||
Net income from continuing ops | CHF69.2 | CHF69.2 | |||
Non-recurring events | |||||
Discontinued operations | |||||
Extraordinary items | |||||
Effect of accounting change | |||||
Other items | |||||
Net income | |||||
Net income | CHF69.2 | CHF69.2 | |||
Income (for common shares) | CHF69.2 | CHF69.2 |
(in millions CHF) | 2021 | 2020 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | CHF4,611.4 | CHF4,034.6 | ||
Cost of revenue | CHF1,518.1 | CHF1,421.6 | ||
Gross profit | CHF3,093.3 | CHF2,613 | ||
Operating activities | ||||
Research & development | ||||
Selling, general & administrative | CHF2,177.3 | CHF1,921.3 | ||
Non-recurring | ||||
Other operating expenses | ||||
Total operating expenses | CHF3,962.4 | CHF3,595.4 | ||
Operating income | CHF649 | CHF439.2 | ||
Income from continuing operations | ||||
Net other income | -CHF27.3 | -CHF45.1 | ||
EBIT | CHF649 | CHF439.2 | ||
Interest expense | -CHF25.4 | -CHF27.6 | ||
Income before tax | CHF621.7 | CHF394.1 | ||
Income tax expense | CHF131.2 | CHF74 | ||
Minority interest | CHF5.5 | |||
Net income from continuing ops | CHF490.5 | CHF320.1 | ||
Non-recurring events | ||||
Discontinued operations | ||||
Extraordinary items | ||||
Effect of accounting change | ||||
Other items | ||||
Net income | ||||
Net income | CHF490.5 | CHF321.7 | ||
Income (for common shares) | CHF490.5 | CHF321.7 |
Cash flows
(in millions CHF) | 29 Jun 2022 | 30 Mar 2022 | |||
---|---|---|---|---|---|
Net income | CHF69.2 | CHF69.2 | |||
Operating activities | |||||
Depreciation | CHF66.55 | CHF66.55 | |||
Net income adjustments | -CHF21.45 | -CHF21.45 | |||
Change in accounts receivable | CHF260.35 | CHF260.35 | |||
Changes in liabilities | -CHF19.2 | -CHF19.2 | |||
Changes in inventory | -CHF111.55 | -CHF111.55 | |||
Changes in other operating activities | -CHF81.2 | -CHF81.2 | |||
Total cash flows from operations | CHF162.7 | CHF162.7 | |||
Investing activities | |||||
Capital expenditures | -CHF52.4 | -CHF52.4 | |||
Investments | CHF125 | CHF125 | |||
Other cash flows from investing | |||||
Total cash flows from investing | CHF64.8 | CHF64.8 | |||
Financing activities | |||||
Dividends paid | -CHF142.05 | -CHF142.05 | |||
Sale and purchase of stock | |||||
Net borrowings | -CHF22.25 | -CHF22.25 | |||
Other cash flows from financing | |||||
Total cash flows from financing | -CHF296.2 | -CHF296.2 | |||
Effect of exchange rate | -CHF2.9 | -CHF2.9 | |||
Change in cash and equivalents | -CHF71.6 | -CHF71.6 |
(in millions CHF) | 2021 | 2020 | ||
---|---|---|---|---|
Net income | CHF490.5 | CHF321.7 | ||
Operating activities | ||||
Depreciation | CHF252.8 | CHF239.3 | ||
Net income adjustments | CHF30.9 | CHF7.1 | ||
Change in accounts receivable | -CHF73.2 | CHF90.1 | ||
Changes in liabilities | CHF57.2 | -CHF34.2 | ||
Changes in inventory | -CHF79.2 | -CHF0.8 | ||
Changes in other operating activities | CHF133.6 | CHF151.2 | ||
Total cash flows from operations | CHF826.8 | CHF787.6 | ||
Investing activities | ||||
Capital expenditures | -CHF217.1 | -CHF225.9 | ||
Investments | CHF151.1 | CHF2.3 | ||
Other cash flows from investing | -CHF0.2 | -CHF0.2 | ||
Total cash flows from investing | -CHF82.5 | -CHF240.5 | ||
Financing activities | ||||
Dividends paid | -CHF264.1 | -CHF417.6 | ||
Sale and purchase of stock | ||||
Net borrowings | -CHF60.9 | -CHF67.9 | ||
Other cash flows from financing | -CHF30.4 | -CHF0.4 | ||
Total cash flows from financing | -CHF655 | -CHF340.1 | ||
Effect of exchange rate | -CHF0.5 | -CHF13.4 | ||
Change in cash and equivalents | CHF88.8 | CHF193.6 |