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MAHMF MAHINDRA & MAHINDRA GDR EACH REPR 1 ORD INR10 REG'S'

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  • 33.900
  • 0.0000.00%
15min DelayClose Dec 16 16:00 ET
40.64BMarket Cap28.54P/E (TTM)

MAHINDRA & MAHINDRA GDR EACH REPR 1 ORD INR10 REG'S' Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(FY)Mar 31, 2023
(Q2)Sep 30, 2022
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(FY)Mar 31, 2019
(FY)Mar 31, 2018
(FY)Mar 31, 2017
(FY)Mar 31, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
31.41%148.56B
59.41%113.05B
--52.35B
133.30%70.92B
69.01%30.4B
-75.29%17.99B
10.47%72.8B
31.70%65.9B
4.37%50.04B
18.73%47.94B
Other non cash items
-27.47%5.44B
22.89%7.5B
--3.64B
-26.42%6.1B
-44.80%8.3B
136.57%15.03B
10.05%6.35B
24.93%5.77B
3.29%4.62B
-12.92%4.47B
Change In working capital
3.84%-191.75B
-6,899.78%-199.41B
---113.92B
-97.59%2.93B
274.51%121.71B
44.30%-69.74B
-83.79%-125.22B
-19.04%-68.13B
-76.76%-57.24B
12.43%-32.38B
-Change in receivables
-0.35%-217.77B
-765.95%-217.02B
---121.48B
-151.19%-25.06B
423.02%48.96B
88.95%-15.16B
-15.05%-137.12B
-38.43%-119.18B
-111.85%-86.09B
15.40%-40.64B
-Change in inventory
66.63%-17.53B
-141.69%-52.52B
---31.09B
-1,062.61%-21.73B
-82.85%2.26B
157.83%13.16B
-788.03%-22.76B
-206.37%-2.56B
121.65%2.41B
-1,681.64%-11.13B
Cash from discontinued investing activities
Operating cash flow
20.41%-56.3B
-176.50%-70.74B
---51.29B
-48.36%92.48B
1,329.22%179.09B
66.49%-14.57B
-737.56%-43.47B
272.42%6.82B
-92.32%1.83B
126.07%23.85B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-56.85%-96.73B
-4.17%-61.67B
---29.47B
-27.99%-59.2B
31.92%-46.25B
5.62%-67.94B
-24.30%-71.98B
-16.67%-57.91B
-20.67%-49.64B
12.77%-41.13B
Net business purchase and sale
-38.94%7.42B
243.99%12.15B
---1.34B
916.39%3.53B
-130.06%-432.5M
-63.79%1.44B
-30.50%3.97B
188.88%5.72B
-81.26%-6.43B
-204.45%-3.55B
Net investment purchase and sale
116.96%9.22B
-617.09%-54.33B
--120.7M
107.23%10.51B
-1,115.99%-145.25B
-10.89%-11.94B
-38.91%-10.77B
23.61%-7.75B
45.13%-10.15B
-238.29%-18.5B
Net other investing changes
-85.57%102.3M
-59.58%708.9M
--1.24B
20,059.77%1.75B
100.58%8.7M
-115.07%-1.51B
-62.39%-699.9M
-427.54%-431M
-1,301.47%-81.7M
-99.69%6.8M
Cash from discontinued investing activities
Investing cash flow
34.51%-55.98B
-164.96%-85.47B
---18.52B
82.51%-32.26B
-167.54%-184.47B
3.81%-68.95B
-31.09%-71.68B
6.93%-54.68B
-1.33%-58.75B
-39.22%-57.99B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-21.89%145.03B
655.39%185.67B
--99.92B
-661.87%-33.43B
-93.06%5.95B
-42.99%85.74B
132.73%150.37B
-10.98%64.61B
67.84%72.58B
28.89%43.24B
Net common stock issuance
-3.77%5.1M
-42.39%5.3M
--1.4M
58.62%9.2M
-99.95%5.8M
124,204.00%12.43B
-77.32%10M
-63.82%44.1M
-32.39%121.9M
593.46%180.3M
Net preferred stock issuance
300.00%16B
--4B
--0
--0
----
----
----
----
----
----
Cash dividends paid
-40.93%-18.11B
-31.04%-12.85B
---12.86B
-270.92%-9.8B
76.71%-2.64B
-21.08%-11.35B
-10.85%-9.37B
-9.60%-8.46B
17.24%-7.72B
22.28%-9.32B
Net other financing activities
-1,279.84%-1.92B
94.20%-139.4M
--95.1M
-116.64%-2.4B
575.64%14.44B
-2,633.97%-3.04B
-99.10%119.8M
444.88%13.33B
--2.45B
----
Cash from discontinued financing activities
Financing cash flow
-22.98%122.81B
371.07%159.46B
--77.14B
-1,548.10%-58.83B
-94.14%4.06B
-47.45%69.33B
108.94%131.94B
3.38%63.15B
105.88%61.08B
77.72%29.67B
Net cash flow
Beginning cash position
0.17%34.93B
3.35%34.88B
--34.88B
-28.88%33.75B
-22.71%47.45B
37.44%61.39B
52.06%44.67B
16.49%29.37B
-5.77%25.22B
-42.24%26.76B
Current changes in cash
224.38%10.54B
133.47%3.25B
--7.33B
205.64%1.39B
90.72%-1.32B
-184.56%-14.19B
9.80%16.78B
267.69%15.28B
193.00%4.16B
68.97%-4.47B
Effect of exchange rate changes
-135.53%-120.3M
365.15%338.6M
---123.9M
-190.89%-127.7M
-43.89%140.5M
531.72%250.4M
-916.90%-58M
688.89%7.1M
152.94%900K
---1.7M
End cash Position
29.68%45.3B
0.17%34.93B
--39.14B
3.35%34.88B
-28.88%33.75B
-22.71%47.45B
37.44%61.39B
52.06%44.67B
16.49%29.37B
-15.93%25.22B
Free cash flow
-16.42%-155.76B
-517.07%-133.79B
---81.24B
-73.09%32.08B
242.70%119.19B
28.53%-83.53B
-123.73%-116.87B
-7.86%-52.24B
-170.98%-48.43B
51.75%-17.87B
Currency Unit
INR
INR
INR
INR
INR
INR
INR
INR
INR
INR
(FY)Mar 31, 2024(FY)Mar 31, 2023(Q2)Sep 30, 2022(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(FY)Mar 31, 2019(FY)Mar 31, 2018(FY)Mar 31, 2017(FY)Mar 31, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 31.41%148.56B59.41%113.05B--52.35B133.30%70.92B69.01%30.4B-75.29%17.99B10.47%72.8B31.70%65.9B4.37%50.04B18.73%47.94B
Other non cash items -27.47%5.44B22.89%7.5B--3.64B-26.42%6.1B-44.80%8.3B136.57%15.03B10.05%6.35B24.93%5.77B3.29%4.62B-12.92%4.47B
Change In working capital 3.84%-191.75B-6,899.78%-199.41B---113.92B-97.59%2.93B274.51%121.71B44.30%-69.74B-83.79%-125.22B-19.04%-68.13B-76.76%-57.24B12.43%-32.38B
-Change in receivables -0.35%-217.77B-765.95%-217.02B---121.48B-151.19%-25.06B423.02%48.96B88.95%-15.16B-15.05%-137.12B-38.43%-119.18B-111.85%-86.09B15.40%-40.64B
-Change in inventory 66.63%-17.53B-141.69%-52.52B---31.09B-1,062.61%-21.73B-82.85%2.26B157.83%13.16B-788.03%-22.76B-206.37%-2.56B121.65%2.41B-1,681.64%-11.13B
Cash from discontinued investing activities
Operating cash flow 20.41%-56.3B-176.50%-70.74B---51.29B-48.36%92.48B1,329.22%179.09B66.49%-14.57B-737.56%-43.47B272.42%6.82B-92.32%1.83B126.07%23.85B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -56.85%-96.73B-4.17%-61.67B---29.47B-27.99%-59.2B31.92%-46.25B5.62%-67.94B-24.30%-71.98B-16.67%-57.91B-20.67%-49.64B12.77%-41.13B
Net business purchase and sale -38.94%7.42B243.99%12.15B---1.34B916.39%3.53B-130.06%-432.5M-63.79%1.44B-30.50%3.97B188.88%5.72B-81.26%-6.43B-204.45%-3.55B
Net investment purchase and sale 116.96%9.22B-617.09%-54.33B--120.7M107.23%10.51B-1,115.99%-145.25B-10.89%-11.94B-38.91%-10.77B23.61%-7.75B45.13%-10.15B-238.29%-18.5B
Net other investing changes -85.57%102.3M-59.58%708.9M--1.24B20,059.77%1.75B100.58%8.7M-115.07%-1.51B-62.39%-699.9M-427.54%-431M-1,301.47%-81.7M-99.69%6.8M
Cash from discontinued investing activities
Investing cash flow 34.51%-55.98B-164.96%-85.47B---18.52B82.51%-32.26B-167.54%-184.47B3.81%-68.95B-31.09%-71.68B6.93%-54.68B-1.33%-58.75B-39.22%-57.99B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -21.89%145.03B655.39%185.67B--99.92B-661.87%-33.43B-93.06%5.95B-42.99%85.74B132.73%150.37B-10.98%64.61B67.84%72.58B28.89%43.24B
Net common stock issuance -3.77%5.1M-42.39%5.3M--1.4M58.62%9.2M-99.95%5.8M124,204.00%12.43B-77.32%10M-63.82%44.1M-32.39%121.9M593.46%180.3M
Net preferred stock issuance 300.00%16B--4B--0--0------------------------
Cash dividends paid -40.93%-18.11B-31.04%-12.85B---12.86B-270.92%-9.8B76.71%-2.64B-21.08%-11.35B-10.85%-9.37B-9.60%-8.46B17.24%-7.72B22.28%-9.32B
Net other financing activities -1,279.84%-1.92B94.20%-139.4M--95.1M-116.64%-2.4B575.64%14.44B-2,633.97%-3.04B-99.10%119.8M444.88%13.33B--2.45B----
Cash from discontinued financing activities
Financing cash flow -22.98%122.81B371.07%159.46B--77.14B-1,548.10%-58.83B-94.14%4.06B-47.45%69.33B108.94%131.94B3.38%63.15B105.88%61.08B77.72%29.67B
Net cash flow
Beginning cash position 0.17%34.93B3.35%34.88B--34.88B-28.88%33.75B-22.71%47.45B37.44%61.39B52.06%44.67B16.49%29.37B-5.77%25.22B-42.24%26.76B
Current changes in cash 224.38%10.54B133.47%3.25B--7.33B205.64%1.39B90.72%-1.32B-184.56%-14.19B9.80%16.78B267.69%15.28B193.00%4.16B68.97%-4.47B
Effect of exchange rate changes -135.53%-120.3M365.15%338.6M---123.9M-190.89%-127.7M-43.89%140.5M531.72%250.4M-916.90%-58M688.89%7.1M152.94%900K---1.7M
End cash Position 29.68%45.3B0.17%34.93B--39.14B3.35%34.88B-28.88%33.75B-22.71%47.45B37.44%61.39B52.06%44.67B16.49%29.37B-15.93%25.22B
Free cash flow -16.42%-155.76B-517.07%-133.79B---81.24B-73.09%32.08B242.70%119.19B28.53%-83.53B-123.73%-116.87B-7.86%-52.24B-170.98%-48.43B51.75%-17.87B
Currency Unit INRINRINRINRINRINRINRINRINRINR
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