GMR Infrastructure Income Statement

Quarterly

Yearly

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20212022
EBITDA1,2182,461
EBIT2741,254
Earning Per Share-4-1
Expenses5,1512,498
Net Profit-3,082-1,202
Net Profit Margin-49-18
Operating Profit Margin2753
Profit Before Tax-3,344-835
Dividends Per Share00
Operation Revenue6,8634,959

Peer Comparison (in ₹.Cr.)

CompanyYearEBITEBITDANet ProfitNet WorthProfit Before Tax
2022315.14191.0646.903,224.97112
2022714.52846.55354.902,262.96551.80
202300-1,174.96NA-1,178.74
2022336.87374.49260.201,814.73326
20230012,624.87NA17,109.03
The EBITDA of GMR Infrastructure is 2,461 as of 2/20/2024
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20122012201220122023
Operating Activities1,3311,3311,3311,3312,299
Investing Activities-10,897-10,897-10,897-10,897-2,422
Financing Activities10,12310,12310,12310,1231,731
Others00000
Net Cash Flow5575575575571,608

Peer Comparison (in ₹.Cr.)

CompanyYearOperating ActivitiesInvesting ActivitiesFinancing ActivitiesNet Cash Flow
202334.21-30.1727.8831.92
2017365.67-249.63-123.61-7.57
2021200.98409.21-853.25-243.06
202393.3612.57-103.012.92
2016-3,239.59-4,626.567,252.70-613.45
The cash flow from Operating Activities of GMR Infrastructure is 2,299 as of 2/20/2024