Housing Development Finance CorporationLtd(Merged) Financials
Housing Development Finance CorporationLtd(Merged) Financial Statement
*All values are in Rs. Cr
Particulars | Mar 2023 | Dec 2022 | Sep 2022 |
---|---|---|---|
Revenue | 16,692.12 | 15,246.81 | 15,035.99 |
Operating Expense | 1,011.10 | 874.52 | 1,004.36 |
Net Profit | 4,425.50 | 3,690.80 | 4,454.24 |
Net Profit Margin | 26.51 | 24.21 | 29.62 |
Earning Per Share | 24.19 | 20.22 | 24.51 |
EBIDTA | 15,376.68 | 14,319.09 | 13,962.15 |
Effective Tax Rate | 4.26 | 6.04 | 6.35 |
Particulars | Mar 2023 |
---|---|
Revenue | 16692.12 |
Operating Expense | 1011.10 |
Net Profit | 4425.50 |
Net Profit Margin | 26.51 |
Earning Per Share | 24.19 |
EBIDTA | 15376.68 |
Effective Tax Rate | 4.26 |
*All values are in Rs. Cr
Standalone
Consolidated
Particulars | Mar 2023 | Mar 2022 | Mar 2021 |
---|---|---|---|
Total Revenue Annual | 60,177.07 | 47,957.07 | 48,149.74 |
Operating Expenses Annual | 39,933.75 | 30,571.60 | 33,201.99 |
Operating Profit Annual | 56,284.64 | 44,157.81 | 43,588.63 |
Interest Annual | 35,994.74 | 26,739.21 | 28,614.76 |
Depreciation | 275.86 | 172.29 | 158.78 |
Net Profit Annual | 16,239.36 | 13,742.18 | 12,027.30 |
Tax Annual | 3,774.68 | 3,504.13 | 2,787.79 |
Particulars | Mar 2023 |
---|---|
Total Revenue Annual | 60,177.07 |
Operating Expenses Annual | 39,933.75 |
Operating Profit Annual | 56,284.64 |
Interest Annual | 35,994.74 |
Depreciation | 275.86 |
Net Profit Annual | 16,239.36 |
Tax Annual | 3,774.68 |
*All values are in Rs. Cr
Standalone
Consolidated
Particulars | Mar 2023 | Mar 2022 | Mar 2021 |
---|---|---|---|
Cash Flow at the Beginning | 565.49 | 769.97 | 3,141.88 |
Cash Flow from Operations | -41,623.44 | -44,409.77 | -28,437.29 |
Cash Flow from Investing | -26,893.82 | -14,571.88 | -8,499.78 |
Cash Flow from Financing | 68,653.01 | 58,777.17 | 34,565.16 |
Cash Flow at the End | 701.24 | 565.49 | 769.97 |
Particulars | Mar 2023 |
---|---|
Cash Flow at the Beginning | 565.49 |
Cash Flow from Operations | -41,623.44 |
Cash Flow from Investing | -26,893.82 |
Cash Flow from Financing | 68,653.01 |
Cash Flow at the End | 701.24 |
*All values are in Rs. Cr
Standalone
Consolidated
Particulars | Mar 2023 | Mar 2022 | Mar 2021 |
---|---|---|---|
PBDIT Margin (%) | 93.46 | 92.01 | 90.48 |
PBIT Margin (%) | 93 | 91.66 | 90.15 |
PBT Margin (%) | 93 | 91.66 | 90.15 |
Net PROFIT Margin (%) | 26.97 | 28.64 | 24.97 |
Return On Networth / Equity (%) | 12.78 | 12 | 12.34 |
Return On Networth /Employed (%) | 8.47 | 7.52 | 8.23 |
Return On Assets (%) | TBA | TBA | TBA |
Total Debt / Equity (X) | 4.20 | 4.11 | 4.41 |
Asset Turnover Ratio (%) | TBA | TBA | TBA |
Particulars | Mar 2023 |
---|---|
PBDIT Margin (%) | 93.46 |
PBIT Margin (%) | 93 |
PBT Margin (%) | 93 |
Net PROFIT Margin (%) | 26.97 |
Return On Networth / Equity (%) | 12.78 |
Return On Networth /Employed (%) | 8.47 |
Return On Assets (%) | TBA |
Total Debt / Equity (X) | 4.20 |
Asset Turnover Ratio (%) | TBA |
*All values are in Rs. Cr
Standalone
Consolidated
Particulars | Mar 2023 | Mar 2022 | Mar 2021 |
---|---|---|---|
Fixed Assets Annual | 1,586.12 | 1,443.85 | 1,355.88 |
Total Current Assets Annual | 15,286.59 | 11,728.26 | 9,815.80 |
Non Current Assets Annual | 7,11,487.88 | 6,29,134.20 | 5,57,782.78 |
Total Shareholders Funds Annual | 1,33,984.74 | 1,20,251 | 1,08,782.65 |
Total Assets Annual | 7,26,774.47 | 6,40,862.46 | 5,67,598.58 |
Particulars | Mar 2023 |
---|---|
Fixed Assets Annual | 1,586.12 |
Total Current Assets Annual | 15,286.59 |
Non Current Assets Annual | 7,11,487.88 |
Total Shareholders Funds Annual | 1,33,984.74 |
Total Assets Annual | 7,26,774.47 |
EPS (INR)
Expected
41.56
Reported
41.67
Surprise
0.26%
Dec 2022
EPS beaten by 0.26%
Sep 2022
EPS beaten by 0.14%
Jun 2022
EPS beaten by 0.00%