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147 INR
0.4
0.27%
Last update Apr 7, 3:29 PM IST
Market closed
Day range
146.050003
148.10001
Previous close
147.39999
Open
146.050003
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HeidelbergCement India Ltd.
147.00
0.40
0.27%

Financials

Cash flow

Fiscal date 2025 2024 2023 2022
Operating activities 1.7B 2.5B 1.7B 2.4B
Net income 1.5B 2.3B 1.4B 3.4B
Depreciation
Deferred taxes
StockBased compensation
Other non cash items -143.1M -196.5M 700K -92.8M
Accounts receivable -21.6M -239M 88.7M -66.7M
Accounts payable
Other assets liabilities 438M 709.1M 220M -797.3M
Investing activities -1.1B -852M -333.2M -630.4M
Capital expenditures -996.6M -729.7M -274.5M -464.4M
Net intangibles
Net acquisitions
Purchase of investments -82.5M -114.2M -52.4M -160.3M
Sale of investments
Other investing activity -7M -8.1M -6.3M -5.7M
Financing activities -2.5B -2.2B -2.4B -3.0B
Long term debt issuance
Long term debt payments -694M -629.5M -335.8M -1.2B
Short term debt issuance
Common stock issuance
Common stock repurchase
Common dividends -1.8B -1.6B -2.0B -1.8B
Other financing charges
End cash position 4.5B 5.3B 4.7B 3.7B
Income tax paid
Interest paid
Free cash flow 1.6B 2.8B 2.0B 2.5B
Access the full /cash_flow historical dataset via the API — starting from the Pro plan (individual) and the Venture plan (business) and above.
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