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Cash Flow of HDFC Bank (HDFCBANK)

Summary    Balance Sheet    Cash Flow    Income    Qtrly Income    Risk    Profitability    Qtrly Profit    Solvency    

Cash Flow of HDFC Bank Ltd.

Year 31_Mar_2020 31_Mar_2019 31_Mar_2018 31_Mar_2017 31_Mar_2016 31_Mar_2015 31_Mar_2014
Cash EPS 47.89 42.66 36.26 29.15 26.78 22.68 19.66
Investments -1616.92 -153698.28 -204832.57 -157820.41 -1745.72 -1868.85 0
Change In Liabilities 0 0 0 0 0 0 0
Profit Before Tax 36607.16 33995.90 27710.64 21996.55 19514.71 16082.70 13214.29
Cash From Operating Activities -16869.09 18327.22 9427.42 37927.22 -130025.01 -104484.29 -66777.93
Net Income 26257.32 22010.38 17851.49 14052.98 12801.33 10688.89 8743.48
Depreciation 0 1224.88 967.99 887.99 738.03 680.45 688.68
Account Receivable 0 23798.94 25424.23 25902.99 545.87 K 450.28 K 367.08 K
Inventory 0 0 0 0 0 0 0
Cash From Investment Activities -1616.92 -1598.41 -852.19 -1147.68 -865.55 -810.82 -1066.66
Net Borrowings 29101.54 1290.69 58026.44 -5298.32 39006.11 9855.68 10043.80
Cash from Financial Activities 24394.48 151.75 K 209.70 K 125.40 K 133.40 K 101.90 K 80258.71
Other Cash from Investing Activities 0 0 0 27.61 32.02 10.90 0
Dividend Paid -6630.59 -4101.52 -3449.03 -2928.09 -2009.17 -1649.28 -1314.07
Change to Inventory 0 0 0 0 0 0 0
Change to Account Receivable 0 -1506.03 -1052.78 -908.34 -18.74 -8.33 0
Sale Purchase of Stocks 0 0 2725.91 2261.52 1222.90 10718.20 723.29
Other Cash From Fin Activities 223.78 K 134.27 K 144.70 K 96813.09 95184.93 82972.58 70805.68
Change to Net Income 15356.07 8445.37 7250.63 4776.90 2869.00 2178.88 2150.16
Capital Expenditure 1635.87 1635.50 918.15 1262.85 877.16 772.36 853.09
Net Cash Flow 5908.47 168.48 K 218.28 K 162.18 K 2514.22 -3397.92 12414.12


Compund Annual Growth Rate (CAGR) of HDFC Bank Ltd.

Period 1 Year 3 Year 5 Year
Cash EPS 12.26 % 18.00 % 16.12 %
Investments 98.95 % 78.28 % 2.85 %
Cash From Financial Activity -83.92 % -42.06 % -24.87 %
Cash From Investing Activity 1.16 % 12.10 % 14.80 %
Cash From Operating Activity -192.04 % 0.00 30.56 %
Net cash Flow -96.49 % -66.85 % 0.00
Net Borrowings 2154.73 % 0.00 24.18 %
Depreciation 0.00 0.00 0.00
Dividend Paid 61.66 % 31.32 % 32.08 %
Capital Expenditure 0.0226 % 9.01 % 16.19 %

About Financial Data , All results are consolidated, Values are in Crores, Sourced from external Vendors


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